| Cash and due from banks (Restricted - $1.8 million on June 30, 2011; $0 on June 30, 2010; and $3.1 million on December 31, 2010) |
327.64M |
| Federal funds sold and securities purchased under agreements to resell |
| Total cash and cash equivalents (Restricted - $1.8 million on June 30, 2011; $0 on June 30, 2010; and $3.1 million on December 31, 2010) |
1.16B |
| Interest-bearing cash |
219.83M |
| Trading securities |
1.32B |
| Loans held for sale |
| Securities available for sale (Note 3) |
4.03B |
| Loans, net of unearned income (Restricted - $.7 billion on June 30, 2011; $.8 billion on June 30, 2010; and $.8 billion on December 31, 2010) (Note 4) |
19.56B |
| Less: Allowance for loan losses (Restricted - $33.0 million on June 30, 2011; $50.1 million on June 30, 2010; and $47.5 million on December 31, 2010) (Note 4) |
201.56M |
| Total net loans (Restricted - $.7 billion on June 30, 2011; $.8 billion on June 30, 2010; and $.7 billion on December 31, 2010) |
19.35B |
| Mortgage servicing rights (Note 5) |
| Goodwill (Note 6) |
191.37M |
| Other intangible assets, net (Note 6) |
22.32M |
| Capital markets receivables |
92M |
| Premises and equipment, net |
279.18M |
| Real estate acquired by foreclosure |
18.95M |
| Other assets (Restricted - $13.9 million on June 30, 2011; $24.7 million on June 30, 2010; and $19.7 million on December 31, 2010) |
1.44B |
| Total assets (Restricted - $.7 billion on June 30, 2011; $.8 billion on June 30, 2010; and $.7 billion on December 31, 2010) |
28.45B |
| Savings |
8.75B |
| Time deposits |
732.56M |
| Other interest-bearing deposits |
5.61B |
| Certificates of deposit $100,000 and more |
592.52M |
| Interest-bearing |
15.68B |
| Noninterest-bearing (Restricted - $.9 million on June 30, 2011; $.9 million on June 30, 2010; and $1.2 million on December 31, 2010) |
5.89B |
| Total deposits (Restricted - $.9 million on June 30, 2011; $.9 million on June 30, 2010; and $1.2 million on December 31, 2010) |
21.57B |
| Federal funds purchased and securities sold under agreements to repurchase |
| Trading liabilities |
702.23M |
| Other short-term borrowings and commercial paper |
792.74M |
| Term borrowings (Restricted - $.7 billion on June 30, 2011; $.8 billion on June 30, 2010; and $.8 billion on December 31, 2010) |
1.07B |
| Capital markets payables |
68.9M |
| Other liabilities (Restricted - $0 million on June 30, 2011; $.1 million on June 30, 2010; and $.1 million on December 31, 2010) |
475.84M |
| Total liabilities (Restricted - $.7 billion on June 30, 2011; $.8 billion on June 30, 2010; and $.8 billion on December 31, 2010) |
25.7B |
| Preferred stock - no par value (shares authorized - 5,000,000; no shares issued on June 30, 2011 or December 31, 2010; shares issued - series CPP 866,540 on June 30, 2010) (Note 12) |
95.62M |
| Common stock - $.625 par value (shares authorized - 400,000,000; shares issued - 263,698,516 on June 30, 2011; 236,839,568 on June 30, 2010; and 263,366,429 on December 31, 2010) |
145.77M |
| Capital surplus |
1.38B |
| Capital surplus common stock warrant - CPP (Note 12) |
| Undivided profits |
992.26M |
| Accumulated other comprehensive loss, net |
-160.83M |
| Total First Horizon National Corporation Shareholders' Equity |
2.45B |
| Noncontrolling interest (Note 12) |
295.43M |
| Total equity |
2.74B |
| Total liabilities and equity |
28.45B |