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Consolidated Statements of Cash Flows (Audited) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2015
Dec. 31, 2014
Dec. 31, 2013
Cash flows from operating activities:      
Net (loss) income $ (2,504) $ 85,181 $ 98,446
Adjustments to reconcile net income to net cash provied by (used in) operating activities [Abstract]      
Amortization of deferred loan origination fees, net of costs 3,396 2,883 1,258
Amortization of discount to fair value of acquired loan 3,106 12,310 12,224
Amortization of investment securities premiums, net of accretion of discounts 12,109 3,124 19,014
Amortization of core deposit and customer relationship intangibles 1,906 2,169 2,577
Amortization of fair value premium of acquired deposits 660 4,772 14,400
FDIC Loss Share (Expense) Income 42,808 65,756 69,267
Other Than Temporary Impairment on securities 1,490 0 0
Other 0 62 8
Depreciation and amortization of premises and equipment 11,100 10,199 10,318
Deferred income taxes, net (37,329) 24,155 (11,066)
Provision for loan and lease losses, net 161,501 60,640 72,894
Stock-based compensation 1,637 1,036 1,823
(Gain) loss on:      
Sale of securities (2,572) (4,366) 0
Sale of mortgage loans held for sale (3,135) (5,123) (2,980)
Gain on sale of derivatives (81) 752 220
Early extinguishment of debt 0 0 (1,061)
Foreclosed real estate 33,998 9,195 6,255
Sale of other repossessed asset 4,828 6,770 3,089
Sale of premises and equipment 192 (11) 5
Originations of loans held-for-sale (211,352) (176,199) (307,339)
Proceeds from sale of loans held-for-sale 102,383 96,804 147,531
Net (increase) decrease in:      
Trading securities 1,306 275 (1,374)
Accrued interest receivable 708 (2,611) (4,080)
Servicing Assets 610 (191) (3,006)
Other assets (14,849) 11,738 29,123
Net increase (decrease) in:      
Accrued interest on deposits and borrowings (250) (1,292) (2,155)
Net increase (decrease) in accrued expenses and other liabilities (14,584) (33,028) 18,425
Net cash provided by (used in) operating activities 97,082 175,000 173,816
Purchases of:      
Investment securities available-for-sale (1,939) (219,853) (33,294)
Investment securities held-to-maturity (499,317) (166,562) 0
FHLB stock 0 (86,175) (104,337)
Maturities and Redemptions of [Abstract]      
Maturities and redemptions of investment securities available-for-sale 238,003 490,048 554,801
Investments securities held-to-maturity 39,310 3,612 0
FHLB Stock 386 89,456 118,298
Proceeds from sale of:      
Investment securities available for sale 103,831 214,518 141,202
Foreclosed real estate and other repossessed assets 74,940 54,639 57,449
Proceeds From Sale Of Loans Held For Investment 42,110 9,378 0
Premises and equipment 0 25 891
Proceeds From Sale Of Mortgage Servicing Rights MSR 5,927 0 0
Origination and purchase of loans, excluding loans held-for-sale (802,572) (739,017) (1,176,875)
Principal repayment of loans, including covered loans 861,891 751,215 1,171,150
Reimbursements from the FDIC on shared-loss agreements (90,697) (32,692) (47,100)
Additions to premises and equipment (5,283) (7,909) (9,120)
Net change in securities purchased under agreements to resell 0 60,000 20,000
Net change in restricted cash (5,058) (73,792) 68,739
Net cash provided by investing activities 153,042 559,859 718,526
Net increase (decrease) in:      
Deposits (198,052) (450,976) (323,899)
Short Term Borrowings 0 0 (92,210)
Securities sold under agreements to repurchase (45,315) (287,184) (427,931)
FHLB advances, federal funds purchased, and other borrowings (4,155) (1,469) (213,144)
Subordinated capital notes 1,049 1,574 (44,968)
Proceeds from (payments to) exercise of stock options and lapsed restricted units, net 204 643 (572)
Proceeds From Issuance Of Common Stock 0 0 (16)
Proceeds From Issuance of Preferred Stock 0 0 (25)
Purchase of treasury stock (8,950) (16,948) 0
Termination of derivatives 0 0 (1,108)
Dividends paid on preferred stock (13,862) (13,862) (13,862)
Dividends paid on common stock (17,761) (14,479) (10,789)
Net cash used in financing activities (286,842) (782,701) (1,126,308)
Net change in cash and cash equivalents (36,718) (47,842) (233,966)
Cash and cash equivalents at beginning of period 573,427 621,269  
Cash and cash equivalents at end of period 536,709 573,427 621,269
Supplemental Cash Flow Disclosure and Schedule of Non-cash Activities:      
Interest paid 67,766 81,506 98,856
Income Taxes Paid 13,966 7,114 378
Mortgage loans securitized into mortgage-backed securities 116,319 95,909 137,943
Transfer from loans to foreclosed real estate and other repossessed assets 67,345 85,459 89,142
Reclassification of loans held-for-investment portfolio to held-for-sale portfolio 3,445 5,202 41,780
Reclassification of loans held-for-sale portfolio to investment portfolio $ 156 $ 25,801 $ 0