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CONSOLIDATED STATEMENTS OF CONDITION - USD ($)
$ in Thousands
Dec. 31, 2023
Dec. 31, 2022
Assets:    
Cash and due from banks $ 420,462 $ 469,501
Money market investments:    
Time deposits with other banks 6,998,871 5,614,595
Total money market investments 6,998,871 5,614,595
Trading account debt securities, at fair value:    
Other trading account debt securities 31,568 27,723
Debt securities available-for-sale, at fair value:    
Pledged securities with creditors' right to repledge 72,827 129,203
Other debt securities available-for-sale 16,656,217 17,675,171
Debt securities held-to-maturity, at amortized cost:    
Pledged securities with creditors' right to repledge 27,083 26,496
Other debt securities held-to-maturity 8,167,252 8,498,870
Debt securities held-to-maturity (fair value 2023 - $8,159,385; 2022 - $8,440,196) 8,194,335 8,525,366
Less - Allowance for credit losses 5,780 6,911
Debt securities held-to-maturity, net 8,188,555 8,518,455
Equity securities (realizable value 2023 - $194,641; 2022 - $196,665) 193,726 195,854
Loans held-for-sale, at fair value 4,301 5,381
Loans held-in-portfolio 35,420,879 32,372,925
Less - Unearned income 355,908 295,156
Allowance for credit losses 729,341 720,302
Total loans held-in-portfolio, net 34,335,630 31,357,467
Premises and equipment, net 565,284 498,711
Other real estate 80,416 89,126
Accrued income receivable 263,433 240,195
Mortgage servicing rights, at fair value 118,109 128,350
Other assets 2,014,564 1,847,813
Goodwill 804,428 827,428
Other intangible assets 9,764 12,944
Total assets 70,758,155 67,637,917
Deposits:    
Non-interest bearing 15,419,624 15,960,557
Interest bearing 48,198,619 45,266,670
Total deposits 63,618,243 61,227,227
Assets sold under agreements to repurchase 91,384 148,609
Other short-term borrowings 0 365,000
Notes payable 986,948 886,710
Other liabilities 914,627 916,946
Total liabilities 65,611,202 63,544,492
Commitments and contingencies
Stockholders' equity:    
Preferred stock, 30,000,000 shares authorized; 885,726 shares issued and outstanding (2022 - 885,726) 22,143 22,143
Common stock, $0.01 par value; 170,000,000 shares authorized;104,767,348 shares issued (2022 - 104,657,522) and 72,153,621 shares outstanding (2022 - 71,853,720) 1,048 1,047
Surplus 4,843,399 4,790,993
Retained earnings 4,194,851 3,834,348
Treasury stock - at cost, 32,613,727 shares (2022 - 32,803,802) (2,018,957) (2,030,178)
Accumulated other comprehensive loss, net of tax (1,895,531) (2,524,928)
Total stockholders' equity 5,146,953 4,093,425
Total liabilities and stockholders' equity $ 70,758,155 $ 67,637,917