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International Bancshares Corporation (Parent Company Only) Financial Information Statements of Cash Flows (Tables)
12 Months Ended
Dec. 31, 2023
International Bancshares Corporation (Parent Company Only) Financial Information Statements of Cash Flows  
Schedule of condensed statements of cash flows of Parent Company

(Dollars in Thousands)

    

2023

    

2022

    

2021

 

Operating activities:

Net income

$

411,768

$

300,232

$

253,922

Adjustments to reconcile net income to net cash provided by operating activities:

Provision for credit loss

500

437

Unrealized (gain) loss on equity securities with readily determinable fair values

(14)

36

(51)

Stock compensation expense

 

330

 

449

 

506

Increase (decrease) in other liabilities

 

4,911

 

1,743

 

(8,084)

Equity in undistributed net income of subsidiaries

 

(240,654)

 

(74,413)

 

(168,603)

Net cash provided by operating activities

 

176,841

 

228,484

 

77,690

Investing activities:

Net (increase) decrease in notes receivable

 

(20,170)

 

(32,556)

 

1,549

Increase in other assets and other investments

 

(33,285)

 

(43,343)

 

(11,787)

Net cash used in investing activities

 

(53,455)

 

(75,899)

 

(10,238)

Financing activities:

Redemption of long-term debt

 

(25,774)

 

 

Proceeds from stock transactions

 

1,167

 

1,537

 

2,414

Payments of cash dividends - common

 

(78,247)

 

(75,375)

 

(72,838)

Purchase of treasury stock

 

(4,611)

 

(52,048)

 

(716)

Net cash used in financing activities

 

(107,465)

 

(125,886)

 

(71,140)

Increase (decrease) in cash

 

15,921

 

26,699

 

(3,688)

Cash at beginning of year

 

89,263

 

62,564

 

66,252

Cash at end of year

$

105,184

$

89,263

$

62,564