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Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2015
Dec. 31, 2014
Dec. 31, 2013
Cash Flows from Operating Activities      
Interest and dividends received $ 277,593 $ 263,878 $ 244,205
Service charges and other fees received 29,604 34,527 30,494
Interest paid (9,467) (16,067) (16,616)
Net cash paid to vendors, employees and others (132,499) (134,913) (93,076)
Income taxes paid (58,500) (58,589) (53,200)
(Payments to) proceeds from FDIC, loss share agreement (1,089) (1,134) 4
Net cash provided by operating activities 105,642 87,702 111,811
Reconciliation of Net Earnings to Net Cash Provided by Operating Activities      
Net earnings 99,145 104,021 95,608
Adjustments to reconcile net earnings to net cash provided by operating activities:      
Gain on sale of loans (732) (6,001)  
Loss (gain) on sale of investment securities 22   (2,094)
Loss (gain) on sale of premises and equipment, net 177 66 (14)
Gain on sale of other real estate owned (384) (957) (3,048)
Amortization of capitalized prepayment penalty on borrowings 521 273 272
Increase in bank owned life insurance (4,029) (2,314) (2,435)
Net amortization of premiums and discounts on investment securities 19,540 21,020 27,064
Accretion of PCI discount (4,032) (5,825) (12,856)
Recapture of provision for loan losses (Recapture of) provision for unfunded (5,600) (16,100) (16,750)
Recapture of provision for unfunded loan commitments (500) (1,250) 500
Valuation adjustment on other real estate owned 162 65 489
Change in FDIC loss share asset 902 3,591 12,860
Payments to FDIC, loss share agreement (1,089) (1,134) 4
Stock-based compensation 2,733 2,988 1,926
Depreciation and amortization, net (1,995) 559 2,449
Change in accrued interest receivable 462 (419) 304
Change in accrued interest payable (897) 5 (382)
Change in other assets and liabilities 1,236 (10,886) 7,914
Total adjustments 6,497 (16,319) 16,203
Cash Flows from Investing Activities      
Proceeds from redemption of FHLB stock 7,750 10,413 24,320
Net change in interest-earning balances from depository institutions (5,573) 53,687  
Proceeds from sale of investment securities available-for-sale 975   99,155
Proceeds from repayment of investment securities available-for-sale 395,430 349,473 414,881
Proceeds from maturity of investment securities available-for-sale 128,709 75,916 80,546
Purchases of investment securities available-for-sale (694,630) (805,544) (920,657)
Proceeds from repayment of investment securities held-to-maturity 23,677    
Proceeds from maturity of investment securities held-to-maturity 27,348    
Net increase in loan and lease finance receivables (189,707) (16,767) (87,276)
Proceeds from sale of loans 3,629 9,668  
Proceeds from sales of premises and equipment 926 663 25
Purchase of premises and equipment (1,869) (1,893) (2,421)
Proceeds from sales of other real estate owned 2,587 5,825 12,971
Cash acquired on purchase of American Security Bank, net of cash paid   50,038  
Net cash used in investing activities (300,748) (268,521) (378,456)
Net cash provided by operating activities 105,642 87,702 111,811
Cash Flows from Financing Activities      
Net increase in other deposits 378,321 291,005 149,271
Net (decrease) increase in time deposits (65,719) 44,647 (32,627)
Repayment of FHLB advances (200,000)    
Repayment of junior subordinated debentures     (41,238)
Net (decrease) increase in other borrowings   (23,000) 43,000
Net increase (decrease) in customer repurchase agreements 127,077 (79,624) 170,007
Cash dividends on common stock (48,862) (42,298) (29,939)
Repurchase of common stock (834) (5,474) (559)
Proceeds from exercise of stock options 5,144 5,522 4,517
Tax benefit related to exercise of stock options 308 1,116 475
Net cash provided by financing activities 195,435 191,894 262,907
Net cash provided by investing activities (300,748) (268,521) (378,456)
Net cash provided by financing activities 195,435 191,894 262,907
Net increase (decrease) in cash and cash equivalents 329 11,075 (3,738)
Cash and cash equivalents, beginning of period 105,768 94,693 98,431
Supplemental Disclosure of Non-cash Investing Activities      
Securities purchased and not settled 1,696 0 3,533
Transfer of loans to other real estate owned 3,721 1,693 1,492
Transfer of loans held for investment to loans held-for-sale 0 0 3,667
Transfer of AFS securities to HTM securities 898,598 0 0
Cash and cash equivalents, end of period $ 106,097 $ 105,768 $ 94,693