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Supplemental disclosure on the consolidated statments of cash flows - Non-cash activities (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Supplemental Cash Flow Information      
Income taxes paid $ 64,997 $ 13,045 $ 14,461
Interest Paid 170,442 240,342 369,383
Non-cash activities:      
Loans transferred to other real estate 57,638 14,464 67,056
Loans transferred to other property 45,144 48,614 53,286
Total loans transferred to foreclosed assets 102,782 63,078 120,342
Loans transfered to other assets 7,219 7,117 16,503
Financed sales of other real estate assets 13,014 15,606 15,907
Financed sales of other foreclosed assets 43,060 34,492 30,840
Total financed sales of foreclosed assets 56,074 50,098 46,747
Financed sale of premises and equipment 31,085 31,350 0
Transfers from premises and equipment to long-lived assets held-for-sale 32,103 0 0
Transfers from loans held-in-portfolio to loans held-for-sale 69,890 82,299 0
Transfers from loans held-for-sale to loans held-in-portfolio 9,762 20,153 7,829
Loans securitized into investment securities 732,533 508,071 458,758
Trades receivables from brokers and counterparties 64,824 64,092 39,364
Trades payable to brokers and counterparties 13,789 720,212 4,084
Recognition of mortgage servicing rights on securitizations or asset transfers 13,391 9,544 9,143
Loans booked under the GNMA buy-back option 19,798 24,244 72,480
Capitalization Of Right Of Use Assets $ 35,683 $ 29,692 $ 189,097