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Consolidated Statements of Condition - USD ($)
$ in Thousands
Mar. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Assets:      
Cash and cash equivalents $ 2,722,915 $ 1,947,931 $ 741,870
Securities:      
Debt securities available-for-sale 6,177,905 5,813,333 5,853,057
Equity investments with readily determinable fair values, at fair value 15,801 31,576 32,830
Total securities 6,193,706 5,844,909 5,885,887
Loans held for sale [1] 141,435 117,136 [2]  
Loans and leases held for investment, net of deferred loan fees and costs 43,125,139 42,883,598 41,894,155
Less: Allowance for credit losses on loans and leases (197,758) (194,043) (147,638)
Total loans and leases held for investment, net 42,927,381 42,689,555 41,746,517
Total loans and leases held for investment and held for sale, net 43,068,816 42,806,691 41,746,517
Federal Home Loan Bank stock, at cost [3] 698,984 714,005 647,562
Premises and equipment, net 282,407 287,447 312,626
Operating lease right-of-use assets 262,196 266,864 286,194
Goodwill 2,426,379 2,426,379 2,426,379
Bank-owned life insurance 1,165,765 1,164,196 1,145,058
Other real estate owned and other repossessed assets 8,153 8,318 12,268
Other assets 827,571 839,380 436,460
Total assets 57,656,892 56,306,120 53,640,821
Deposits:      
Interest-bearing checking and money market accounts 12,665,002 12,610,073 10,230,144
Savings accounts 7,043,602 6,415,608 4,780,007
Certificates of deposit 9,614,298 10,330,680 14,214,858
Non-interest-bearing accounts 4,874,234 3,080,452 2,432,123
Total deposits 34,197,136 32,436,813 31,657,132
Wholesale borrowings:      
Federal Home Loan Bank advances 14,302,661 14,627,661 13,102,661
Repurchase agreements 800,000 800,000 800,000
Total wholesale borrowings 15,102,661 15,427,661 13,902,661
Junior subordinated debentures 360,362 360,259 359,866
Subordinated notes 295,764 295,624 295,066
Total borrowed funds 15,758,787 16,083,544 14,557,593
Operating lease liabilities 262,169 266,846 285,991
Other liabilities 642,360 677,273 428,411
Total liabilities 50,860,452 49,464,476 46,929,127
Stockholders' equity:      
Preferred stock 502,840 502,840 502,840
Common stock 4,904 4,904 4,904
Paid-in capital in excess of par 6,103,251 6,122,690 6,115,487
Retained earnings 552,566 494,229 342,023
Treasury stock (245,005) (257,541) (220,717)
Accumulated other comprehensive loss, net of tax:      
Net unrealized gain (loss) on securities available for sale, net of tax (41,809) 66,880 25,440
Net unrealized loss on pension and post-retirement obligations, net of tax (54,855) (59,345) (59,136)
Net unrealized (loss) gain on cash flow hedges, net of tax (25,452) (33,013) 853
Total accumulated other comprehensive loss, net of tax (122,116) (25,478) (32,843)
Total stockholders' equity 6,796,440 6,841,644 6,711,694
Total liabilities and stockholders' equity $ 57,656,892 $ 56,306,120 $ 53,640,821
[1] Includes deferred loan origination fees of $3.8 million and $1.7 million at March 31, 2021 and December 31, 2020, respectively.
[2] Includes deferred loan origination fees of $1.7 million.
[3] Carrying value and estimated fair value are at cost.