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Consolidated Statements of Cash Flows - USD ($)
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Net income $ 263,813,000 $ 120,992,000 $ 121,167,000
Depreciation, Depletion and Amortization, Nonproduction 38,799,000 32,824,000 27,262,000
Change In Unamortized Net Loan Costs And Premiums (7,119,000) (24,785,000) (7,126,000)
Accretion of acquired loans 175,000 (6,882,000) (6,286,000)
Provision for credit losses 6,500,000 18,205,000 52,500,000
Deferred income tax expense (1,254,000) 3,090,000 (17,506,000)
Equity Securities, FV-NI, Gain (Loss) 3,061,000 (554,000) (528,000)
Gain (Loss) on Disposition of Property Plant Equipment (584,000) 139,000 372,000
Operating Lease, Impairment Loss 0 0 4,163,000
Loss on Derivative Instruments, Pretax 0 0 684,000
Sale and Leaseback Transaction, Gain (Loss), Net 578,000 578,000 578,000
Share-based Payment Arrangement, Noncash Expense 4,464,000 4,309,000 4,123,000
Life Insurance, Corporate or Bank Owned, Change in Value (7,685,000) (6,431,000) (5,362,000)
Gain Realized on Life Insurance Policies (1,291,000) (258,000) (1,044,000)
Operating Lease, Payments (19,296,000) (17,456,000) (11,936,000)
Increase (Decrease) in Loans Held-for-sale (452,000) (1,679,000) 1,296,000
Increase (Decrease) in Debt Securities, Trading, and Equity Securities, FV-NI (168,000) (882,000) (659,000)
Increase (Decrease) in Loans Held-for-sale 21,424,000 31,746,000 (23,501,000)
Increase (Decrease) in Other Operating Assets 65,263,000 93,565,000 (145,953,000)
Change in other liabilities 55,224,000 (58,503,000) 76,140,000
Total adjustments 157,387,000 69,228,000 (56,531,000)
Net cash provided by operating activities 421,200,000 190,220,000 64,636,000
Proceeds from Sale of Debt and Equity Securities, FV-NI, Held-for-investment 31,000 1,164,000 0
Increase (Decrease) in Equity Securities, FV-NI (1,524,000) (2,171,000) (803,000)
Proceeds from Maturities, Prepayments and Calls of Debt Securities, Available-for-sale 139,923,000 95,981,000 108,893,000
Payments to Acquire Debt Securities, Available-for-sale (123,289,000) (1,284,867,000) (84,156,000)
Proceeds from maturities and principal repayments of securities held to maturity 166,712,000 263,106,000 261,705,000
Payments to Acquire Held-to-maturity Securities (804,105,000) (606,543,000) (244,718,000)
Net redemption of Federal Home Loan Bank stock 6,189,000 25,027,000 4,174,000
Investments in low income housing projects (33,232,000) (22,496,000) (17,858,000)
Purchases of life insurance policies (163,000) (40,164,000) (164,000)
Proceeds from Life Insurance Policy 3,160,000 576,000 3,417,000
Payments for (Proceeds from) Loans and Leases (335,448,000) 744,981,000 (511,526,000)
Cash Acquired in Excess of Payments to Acquire Business 0 787,301,000 0
Payments to Acquire Property, Plant, and Equipment (22,072,000) (25,200,000) (12,586,000)
Proceeds from Sale of Property, Plant, and Equipment 3,344,000 169,000 6,095,000
Payments on early termination of hedging relationship 0 0 (684,000)
Net cash used in investing activities (1,000,474,000) (63,136,000) (488,211,000)
Increase (Decrease) in Time Deposits (334,381,000) (235,577,000) (444,276,000)
Increase (Decrease) in Other Deposits (702,628,000) 1,719,398,000 2,290,489,000
Increase (Decrease) in Federal Funds Purchased and Securities Sold under Agreements to Repurchase, Net (25,000,000) 0 (45,000,000)
Increase Decrease in Federal Home Loan Bank Advances Long Term 0 (586,088,000) (35,000,000)
Repayments of Long-term Debt (14,063,000) (18,750,000) (42,187,000)
Net payments from exercise of stock options 0 (57,000)  
Cash received from stock option exercises     (197,000)
Issuance Of Restricted Stock Awards, Net of Issuance Cost (1,084,000) (1,249,000) (1,187,000)
Proceeds from shares issued under the direct stock purchase plan 2,359,000 2,023,000 2,132,000
Payments for Repurchase of Common Stock (139,946,000) 0 (95,091,000)
Common dividends paid (93,734,000) (62,736,000) (60,840,000)
Net cash (used in) provided by financing activities (1,308,477,000) 816,964,000 1,569,237,000
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate Effect, Total (1,887,751,000) 944,048,000 1,145,662,000
Cash and cash equivalents at beginning of year 2,240,684,000 1,296,636,000 150,974,000
Cash and cash equivalents at end of period 352,933,000 2,240,684,000 1,296,636,000
Supplemental schedule of noncash investing and financing activities      
Interest Paid, Excluding Capitalized Interest, Operating Activities 26,424,000 14,004,000 36,739,000
Income taxes 44,274,000 23,353,000 48,240,000
Capital commitment relating to Low Income Housing Project investments, noncash 17,643,000 33,691,000 32,477,000
Right-of-Use Asset Obtained in Exchange for Operating Lease Liability 14,789,000 7,768,000 8,646,000
Operating Lease, Right-of-Use Asset 58,900,000 60,200,000  
Operating Lease, Liability 60,707,000    
In conjunction with the Company's acquisitions, assets were acquired and liabilities were assumed as follows      
Common stock issued for acquisition 0 1,298,558,000 0
Fair value of assets acquired, net of cash acquired 0 5,574,209,000 0
Fair value of liabilities assumed $ 0 $ 5,062,952,000 $ 0