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Consolidated Statements of Cash Flows (Unaudited) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2023
Mar. 31, 2022
Cash Flows From Operating Activities: [Abstract]    
Net income $ 162,496 $ 62,452
Adjustments to reconcile net income to net cash used in operating activities: [Abstract]    
Provision for credit losses 16,000 0
Change in fair value of mortgage servicing rights due to market assumption changes 6,059 (49,110)
Change in the fair value of mortgage servicing rights due to principal payments 5,382 7,960
Net unrealized (gains) losses from derivative contracts 61,704 (31,298)
Share-based compensation 6,701 2,835
Depreciation and amortization 26,885 26,091
Net amortization of discounts and premiums (4,163) 3,216
Net losses (gains) on financial instruments and other losses (gains), net (2,009) 706
Net loss (gain) on mortgage loans held for sale 1,361 (1,056)
Mortgage loans originated for sale (138,624) (418,866)
Proceeds from sale of mortgage loans held for sale 139,088 446,742
Capitalized mortgage servicing rights (2,498) (5,215)
Change in trading and fair value option securities 2,140,101 4,104,453
Change in receivables 11,032 (88,559)
Change in other assets 6,721 (19,589)
Change in other liabilities 28,544 (107,508)
Net cash provided by (used in) operating activities 2,464,780 3,933,254
Cash Flows From Investing Activities: [Abstract]    
Proceeds from maturities or redemptions of investment securities 64,514 26,363
Proceeds from maturities or redemptions of available for sale securities 313,935 723,730
Purchases of available for sale securities (631,168) (1,161,606)
Proceeds from sales of available for sale securities 0 55,185
Change in amount receivable on unsettled available for sale securities transactions 9,864 (99,944)
Loans originated, net of principal collected (187,088) (460,128)
Net payments on derivative asset contracts 156,522 34,855
Net change in restricted equity securities 11,470 5,724
Proceeds from disposition of assets 7,401 9,708
Purchases of assets (58,710) (37,569)
Net cash provided by (used in) investing activities (313,260) (903,682)
Cash Flows From Financing Activities: [Abstract]    
Net change in demand deposits, transaction deposits and savings accounts (2,014,726) (1,626,196)
Net change in time deposits 114,768 (189,912)
Net change in other borrowed funds (677,232) (1,271,195)
Net proceeds on derivative liability contracts (158,021) (30,779)
Net change in derivative margin accounts 579,188 (1,274,645)
Change in amount due on unsettled available for sale securities transactions 52,104 (17,198)
Issuance of common and treasury stock, net (4,501) (4,907)
Repurchase of common stock (44,476) (48,074)
Dividends paid (36,356) (36,295)
Net cash provided by (used in) financing activities (2,189,252) (4,499,201)
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate Effect, Total (37,732) (1,469,629)
Cash and cash equivalents at beginning of period 1,401,716 2,837,410
Cash and cash equivalents at end of period 1,363,984 1,367,781
Supplemental Cash Flow Information: [Abstract]    
Cash paid for interest 163,960 13,982
Cash paid for taxes 733 858
Net loans and bank premises transferred to repossessed real estate and other assets 225 64
Residential mortgage loans guaranteed by U.S. government agencies that became eligible for repurchase during the period 5,556 12,568
Conveyance of other real estate owned guaranteed by U.S. government agencies 1,150 1,812
Right-of-use assets obtained in exchange for operating lease liabilities $ 63,521 $ 9,241