Huntington National Bank 2010 Annual Report Download - page 158

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The following tables provide detail on investment securities with unrealized losses aggregated by
investment category and the length of time the individual securities have been in a continuous loss position, at
December 31, 2010 and 2009.
Fair
Value
Unrealized
Losses
Fair
Value
Unrealized
Losses
Fair
Value
Unrealized
Losses
Less than 12 Months Over 12 Months Total
(Dollar amounts in thousands)
December 31, 2010
U.S. Treasury ................. $ 51,781 $ (644) $ $ $ 51,781 $ (644)
Federal Agencies:
Mortgage-backed securities ..... 1,424,431 (51,328) — 1,424,431 (51,328)
TLGP securities ............. — —
Other agencies .............. 1,217,074 (17,134) 4,771 (86) 1,221,845 (17,220)
Total U.S. Government
backed securities ............. 2,693,286 (69,106) 4,771 (86) 2,698,057 (69,192)
Municipal securities ............ 201,370 (6,363) 3,700 (120) 205,070 (6,483)
Private label CMO ............. 85,617 (13,820) 85,617 (13,820)
Asset-backed securities .......... 214,983 (2,129) 146,866 (138,719) 361,849 (140,848)
Other securities................ 655,869 (19,125) 41,218 (791) 697,087 (19,916)
Total temporarily impaired
securities .................. $3,765,508 $(96,723) $282,172 $(153,536) $4,047,680 $(250,259)
Fair
Value
Unrealized
Losses
Fair
Value
Unrealized
Losses
Fair
Value
Unrealized
Losses
Less than 12 Months Over 12 Months Total
(Dollar amounts in thousands)
December 31, 2009
U.S. Treasury ................. $ 99,154 $ (581) $ $ $ 99,154 $ (581)
Federal Agencies
Mortgage-backed securities ..... 1,324,960 (9,163) — 1,324,960 (9,163)
TLGP securities ............. 49,675 (321) — 49,675 (321)
Other agencies .............. 1,443,309 (4,081) 6,475 (77) 1,449,784 (4,158)
Total U.S. Government
backed securities ............. 2,917,098 (14,146) 6,475 (77) 2,923,573 (14,223)
Municipal securities ............ 3,993 (7) 3,741 (79) 7,734 (86)
Private label CMO ............. 15,280 (3,831) 452,439 (53,326) 467,719 (57,157)
Asset-backed securities .......... 236,451 (8,822) 207,581 (147,045) 444,032 (155,867)
Other securities................ 39,413 (372) 410 (215) 39,823 (587)
Total temporarily impaired
securities .................. $3,212,235 $(27,178) $670,646 $(200,742) $3,882,881 $(227,920)
144