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Condensed Consolidated Statements Of Cash Flow (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Mar. 31, 2012
Mar. 31, 2011
CASH FLOWS FROM OPERATING ACTIVITIES    
Net income $ 14,005 $ 11,355
Adjustments to reconcile to net cash provided by operating activities:    
Provision for loan losses 173 788
Depreciation and amortization 2,588 2,281
Net amortization of securities premiums and discounts 412 1,352
Realized securities gains (4,032) (8)
Gain on sales of loans (572) (452)
Cash receipts from the sale of loans originated for sale 45,767 40,593
Cash disbursements for loans originated for sale (48,734) (35,510)
Deferred income tax benefit (20) (350)
Gains on other assets (30) (1,049)
Decrease in interest receivable 1,505 2,062
Decrease in interest payable (237) (85)
Amortization of stock based compensation arrangements 441 375
Other, net 3,619 4,633
Net cash provided by operating activities 14,885 25,985
Purchases of securities:    
Available for sale (9,785) (31,126)
Maturities of securities:    
Held for investment 1,099 1,270
Available for sale 44,034 28,189
Proceeds from sales and calls of securities:    
Held for investment   1
Available for sale 6,470 62,159
Net decrease in Federal funds sold 400 2,246
Purchases of loans (542) (1,304)
Proceeds from sales of loans 11,485 737
Net other (increase)/decrease in loans (44,317) 8,453
Purchases of premises, equipment and computer software (5,005) (2,782)
Proceeds from the sale of other assets 4,937 10,917
Net cash provided by investing activities 8,776 78,760
FINANCING ACTIVITIES    
Net increase in demand, transaction and savings deposits 148,109 151,921
Net (decrease)/increase in time deposits (32,988) 10,524
Net decrease in short-term borrowings (951) (150)
Paydown of long-term borrowings (5,073) (1,069)
Issuance of common stock 544 541
Cash dividends paid (4,081) (3,846)
Net cash provided by financing activities 105,560 157,921
Net increase in cash, due from banks and interest-bearing deposits 129,221 262,666
Cash, due from banks and interest-bearing deposits at the beginning of the period 1,707,733 1,204,079
Cash, due from banks and interest-bearing deposits at the end of the period 1,836,954 1,466,745
SUPPLEMENTAL DISCLOSURES OF CASH FLOW INFORMATION:    
Cash paid during the period for interest $ 5,185 $ 7,105