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CONSOLIDATED BALANCE SHEETS - USD ($)
$ in Millions
Sep. 30, 2025
Dec. 31, 2024
ASSETS    
Cash and due from banks (restricted cash of $3 and $1) $ 535 $ 497
Interest-bearing cash and temporary investments (restricted cash of $14 and $6) 1,808 1,382
Total cash and cash equivalents 2,343 1,879
Investment securities    
Equity and other, at fair value 112 78
Available for sale, at fair value 11,013 8,275
Held to maturity, at amortized cost 18 2
Loans held for sale 340 72
Loans and leases 48,462 37,681
Allowance for credit losses on loans and leases (473) (425)
Net loans and leases 47,989 37,256
Restricted equity securities 119 150
Premises and equipment, net 416 349
Operating lease right-of-use assets 156 111
Goodwill 1,481 1,029
Other intangible assets, net 754 484
Residential mortgage servicing rights, at fair value 101 108
Bank-owned life insurance 1,199 694
Deferred tax asset, net 392 359
Other assets 1,063 730
Total assets 67,496 51,576
Deposits    
Non-interest-bearing 17,810 13,308
Interest-bearing 37,961 28,413
Total deposits 55,771 41,721
Securities sold under agreements to repurchase 167 237
Borrowings 2,300 3,100
Junior subordinated debentures, at fair value 331 331
Junior and other subordinated debentures, at amortized cost 107 108
Operating lease liabilities 168 126
Other liabilities 862 835
Total liabilities 59,706 46,458
COMMITMENTS AND CONTINGENCIES (Note 8)
SHAREHOLDERS' EQUITY    
Preferred stock, no par value, shares authorized: 2,000, issued and outstanding: 0 0 0
Common stock, no par value, shares authorized: 520,000; issued and outstanding: 299,147 in 2025 and 209,536 in 2024 8,189 5,817
Accumulated deficit (131) (237)
Accumulated other comprehensive loss (268) (462)
Total shareholders' equity 7,790 5,118
Total liabilities and shareholders' equity $ 67,496 $ 51,576