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Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Operating Activities      
Net Income $ 253,372 $ 153,804 $ 225,913
Adjustments to Reconcile Net Income to Net Cash Provided by Operating Activities:      
Provision for Credit Losses (50,500) 117,800 16,000
Depreciation and Amortization 21,084 20,205 17,268
Amortization of Deferred Loans and Leases (Fees) Costs, Net (16,728) (3,197) 476
Amortization and Accretion of Premiums/Discounts on Investment Securities, Net 36,488 27,586 20,683
Amortization of Operating Lease Right-of-Use-Assets 11,493 12,281 12,616
Share-Based Compensation 13,267 7,578 8,337
Benefit Plan Contributions (1,687) (1,615) (1,926)
Deferred Income Taxes 3,020 (42,586) (15,415)
Gains on Sale of Premises and Equipment (8,655) (1,850) (558)
Impairment on Leveraged Lease   2,951  
Impairment on ISB Closures and ATMs   4,168  
Net Gains on Sales of Loans and Leases (14,889) (12,875) (10,357)
Net (Gains) Losses on Investment Securities 1,297 (9,932) 3,986
Proceeds from Sales of Loans Held for Sale 508,199 394,196 487,436
Originations of Loans Held for Sale (408,210) (394,649) (510,909)
Net Tax Benefits from Share-Based Compensation 1,611 485 727
Net Change in Other Assets and Other Liabilities 27,989 (127,934) (20,039)
Net Cash Provided by Operating Activities 377,151 146,416 234,238
Investment Securities Available-for-Sale:      
Proceeds from Sales, Prepayments and Maturities 1,487,043 1,003,432 1,873,700
Purchases (2,100,693) (2,114,912) (1,456,901)
Investment Securities Held-to-Maturity:      
Proceeds from Prepayments and Maturities 1,221,585 1,420,853 794,157
Purchases (2,676,376) (1,661,180) (1,380,430)
Net Change in Loans and Leases (342,767) (990,169) (550,533)
Premises and Equipment, Net (22,372) (33,287) (53,900)
Proceeds from Sale of Premises and Equipment 10,246 1,981 639
Net Cash Used in Investing Activities (2,423,334) (2,373,282) (773,268)
Financing Activities      
Net Change in Deposits 2,148,487 2,427,147 757,241
Net Change in Short-Term Borrowings (150,100) (3,716) 99,811
Proceeds from Other Debt   50,000  
Repayments of Other Debt (50,090) (75,084) (50,078)
Proceeds from Issuance of Preferred Stock 175,487    
Proceeds from Issuance of Common Stock 13,611 9,389 7,872
Repurchase of Common Stock (31,258) (18,006) (137,649)
Cash Dividends Paid on Common Stock (110,633) (107,434) (105,478)
Cash Dividends Paid on Preferred Stock (2,975)    
Net Cash Provided by Financing Activities 1,992,529 2,282,296 571,719
Net Change in Cash and Cash Equivalents (53,654) 55,430 32,689
Cash and Cash Equivalents at Beginning of Period 614,088 558,658 525,969
Cash and Cash Equivalents at End of Period 560,434 614,088 558,658
Supplemental Information      
Cash Paid for Interest 32,044 53,026 89,894
Cash Paid for Income Taxes 48,764 60,182 58,152
Non-Cash Investing and Financing Activities:      
Initial Recognition of Operating Lease Right-of-Use Assets     106,514
Initial Recognition of Operating Lease Liabilities     113,394
Transfer from Loans to Foreclosed Real Estate     $ 2,070
Transfers from Loans to Loans Held for Sale $ 34,647 $ 32,423