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Consolidated Statements of Cash Flow (Unaudited) - USD ($)
$ in Thousands
9 Months Ended
Sep. 30, 2025
Sep. 30, 2024
CASH FLOWS FROM OPERATING ACTIVITIES    
Net Income (Loss) $ 181,113 $ 159,878
Adjustments to reconcile to net cash provided by operating activities:    
Provision for credit losses 7,411 10,404
Depreciation and amortization 16,834 16,201
Net amortization of securities premiums and discounts (428) (850)
Realized securities losses 581 258
Gain on sales of loans (2,382) (1,945)
Cash receipts from the sale of loans originated for sale 138,729 152,279
Cash disbursements for loans originated for sale (138,110) (115,407)
Deferred income tax benefit (1,368) (2,812)
Gain on sale of other assets (1,015) (1,259)
Increase in interest receivable (1,426) (3,219)
(Decrease)/increase in interest payable (497) 6,491
Amortization of stock-based compensation arrangements 2,766 2,580
Excess tax benefit from stock-based compensation arrangements (2,026) (2,188)
Other, net 30,314 23,657
Net cash provided by operating activities 230,496 244,068
INVESTING ACTIVITIES    
Net decrease in federal funds sold 715 1,316
Purchases of available for sale debt securities (508) (522)
Proceeds from maturities, calls and paydowns of held for investment debt securities 91 353
Proceeds from maturities, calls and paydowns of available for sale debt securities 222,947 212,768
Purchase of equity securities (256) (409)
Proceeds from paydowns and sales of equity securities 351 353
Net change in loans (280,355) (580,760)
Net payments on derivative asset contracts 436 (4,295)
Purchases of premises, equipment and computer software (36,763) (21,508)
Purchase of tax credits (17,478) (5,874)
Other, net 10,949 10,156
Net cash used in investing activities (99,871) (388,422)
FINANCING ACTIVITIES    
Net change in deposits 399,841 774,230
Net change in short-term borrowings 11,675 1,078
Issuance of common stock in connection with stock-based compensation plans, net 4,600 6,192
Cash dividends paid (45,875) (42,536)
Net cash provided by financing activities 370,241 738,964
Net increase in cash, due from banks and interest-bearing deposits 500,866 594,610
Cash, due from banks and interest-bearing deposits at the beginning of the period 3,553,772 2,397,463
Cash, due from banks and interest-bearing deposits at the end of the period 4,054,638 2,992,073
SUPPLEMENTAL DISCLOSURES OF CASH FLOW INFORMATION:    
Cash paid during the period for interest 202,973 200,309
Cash paid during the period for income taxes 28,731 36,356
Noncash investing and financing activities:    
Unpaid common stock dividends declared $ 16,331 $ 15,236