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Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Cash flows from operating activities:      
Net income $ 475,543 $ 120,632 $ 186,483
Adjustments to reconcile net income to net cash provided by operating activities:      
Depreciation and amortization 63,137 46,367 33,121
(Recovery) provision for credit losses (165,273) 235,989 12,777
Deferred income taxes 67,850 (44,282) (1,492)
Gains on sale of securities, net (102) (50) (2,711)
Share-based compensation expense 25,721 23,318 8,839
Accretion of discount related to acquired loans (29,658) (56,170) (12,986)
Extinguishment of debt cost - fair value marks 11,706    
Losses on disposal of premises and equipment 856 5,010 3,617
(Gains) losses on sale of bank properties held for sale and repossessed real estate (2,329) (546) 178
Net amortization of premiums on investment securities 38,025 22,231 7,260
Bank properties held for sale and repossessed real estate write downs 2,067 1,085 1,193
Fair value adjustment for loans held for sale 6,920 4,705 (1,057)
Originations and purchases of loans held for sale (3,045,145) (2,959,310) (847,684)
Proceeds from sales of loans held for sale 3,209,094 3,297,155 824,712
Gains on sales of loans held for sale (72,124) (120,077) (12,408)
Increase in cash surrender value of BOLI (18,221) (10,170) (5,567)
Net change in:      
Accrued interest receivable 17,083 (19,362) (777)
Prepaid assets (1,250) (8,945) (2,411)
Operating leases 2,053 6,434 1,457
Bank owned life insurance (202) (1,231) 1,105
Trading securities (35,154) (10,674)  
Derivative assets 399,157 98,807 (10,373)
Miscellaneous other assets (79,312) 27,365 (29,932)
Accrued interest payable (3,759) (3,683) 197
Accrued income taxes (53,843) (77,946) (8,536)
Derivative liabilities (394,695) (113,788) 26,064
Miscellaneous other liabilities 119,120 74,079 9,959
Net cash provided by operating activities 537,265 536,943 181,028
Cash flows from investing activities:      
Proceeds from sales of investment securities available for sale 151,314 100,754 242,733
Proceeds from maturities and calls of investment securities held to maturity 104,958 2,534  
Proceeds from maturities and calls of investment securities available for sale 805,342 957,250 308,109
Proceeds from sales and redemptions of other investment securities 1,533 71,788 45
Purchases of investment securities available for sale (2,941,888) (1,309,450) (955,505)
Purchases of investment securities held to maturity (975,266) (958,391)  
Purchases of other investment securities (1,659) (85,511) (23,566)
Net decrease (increase) in loans 745,085 (156,360) (363,446)
Net cash (paid in) received from acquisitions (39,929)    
Net cash (paid in) received from acquisitions   2,566,376  
Recoveries of loans previously charged off 13,800 11,776 3,914
Purchase of bank owned life insurance (205,566)    
Purchases of premises and equipment (28,418) (16,930) (15,798)
Proceeds from redemption and payout of bank owned life insurance policies 307 19,655  
Proceeds from sale of bank properties held for sale and repossessed real estate 42,657 19,156 8,450
Proceeds from sale of premises and equipment 8,469 7,131 11
Net cash (used in) provided by investing activities (2,319,261) 1,229,778 (795,053)
Cash flows from financing activities:      
Net increase in deposits 4,367,662 2,902,023 530,163
Net increase in federal funds purchased and securities sold under agreements to repurchase and other short-term borrowings 1,573 79,379 28,092
Proceeds from borrowings 25,000 500,000 700,001
Repayment of borrowings (100,878) (1,200,103) (150,007)
Common stock issuance 2,384 1,537 1,394
Common stock repurchases (147,421) (32,431) (159,431)
Dividends paid (135,337) (98,256) (57,696)
Stock options exercised 2,905 1,681 1,230
Net cash provided by financing activities 4,015,888 2,153,830 893,746
Net increase in cash and cash equivalents 2,233,892 3,920,551 279,721
Cash and cash equivalents at beginning of period 4,609,255 688,704 408,983
Cash and cash equivalents at end of period 6,843,147 4,609,255 688,704
Cash paid for:      
Interest 55,387 87,246 86,355
Income taxes 126,207 103,801 55,674
Initial measurement and recognition of operating lease assets in exchange for lease liabilities per ASU 2016-02     82,160
Recognition of operating lease assets in exchange for lease liabilities 9,623 9,426 10,239
Acquisitions:      
Fair value of tangible assets acquired 34,838 18,825,354  
Other intangible assets acquired   140,862  
Liabilities assumed 2,343 17,270,550  
Net identifiable assets acquired over liabilities assumed 15,816 561,042  
Common stock issued in acquisition   2,246,327  
Real estate acquired in full or in partial settlement of loans $ 3,642 $ 4,660 $ 8,666