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Consolidated Statements of Cash Flows (USD $)
In Thousands
9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Operating activities:  
Net income$ 96,776$ 99,603
Adjustments to reconcile net income to net cash provided by operating activities:  
Provision for probable loan losses7,83315,495
Accretion of time deposit discounts(11)(11)
Depreciation of bank premises and equipment24,74926,751
Gain on sale of bank premises and equipment(267)(192)
Accretion of investment securities discounts(1,387)(1,284)
Amortization of investment securities premiums13,9687,906
Investment securities transactions, net(9,448)(30,850)
Impairment charges on available-for-sale investment securities7017,992
Amortization of junior subordinated debenture discounts927
Amortization of identified intangible assets3,9503,946
Stock based compensation expense280431
Earnings from affiliates and other investments(11,542)(10,940)
Deferred tax expense (benefit)766(11,355)
Decrease in accrued interest receivable5,4816,234
Net decrease in other assets18,32812,752
Net increase in other liabilities7,97638,229
Net cash provided by operating activities158,162164,734
Investing activities:  
Proceeds from maturities of securities1,3001,924
Proceeds from sales and calls of available for sale securities926,8691,068,184
Purchases of available for sale securities(1,596,603)(1,956,467)
Principal collected on mortgage-backed securities703,618737,947
Net decrease in loans228,02185,195
Purchases of other investments(1,941)(2,239)
Distributions of other investments23,50429,870
Purchases of bank premises and equipment(13,450)(11,243)
Proceeds from sale of bank premises and equipment1,1801,854
Net cash provided by (used in) investing activities272,498(44,975)
Financing activities:  
Net increase in non-interest bearing demand deposits163,70755,740
Net increase in savings and interest bearing demand deposits102,312203,944
Net (decrease) increase in time deposits(111,980)24,532
Net (decrease) increase in securities sold under repurchase agreements(46,453)36,283
Net decrease in other borrowed funds(469,036)(425,325)
Repayment of long-term debt(10,400) 
Purchase of treasury stock(6,333)(6,493)
Proceeds from stock transactions112484
Payments of dividends on common stock(12,864)(11,578)
Payments of dividends on preferred stock(8,100)(8,100)
Net cash used in financing activities(399,035)(130,513)
Increase (decrease) in cash and cash equivalents31,625(10,754)
Cash and cash equivalents at beginning of period197,814224,638
Cash and cash equivalents at end of period229,439213,884
Supplemental cash flow information:  
Interest paid75,53388,561
Income taxes paid45,02255,234
Accrued dividends, preferred shares1,3501,350
Dividends declared, not yet paid on common stock12,78412,867
Purchases of available-for-sale securities not yet settled 451,148
Sales of available-for-sale securities not yet settled2,027 
Net transfers from loans to other real estate owned$ 45,873$ 56,609