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Bank segment - Balance sheet data (Details) - USD ($)
$ in Thousands
Sep. 30, 2021
Jun. 30, 2021
Mar. 31, 2021
Dec. 31, 2020
Sep. 30, 2020
Jun. 30, 2020
Mar. 31, 2020
Dec. 31, 2019
Assets                
Cash and cash equivalents $ 227,923     $ 341,421 $ 193,126      
Investment securities                
Available-for-sale investment securities, at fair value 2,580,830     1,970,417        
Held-to-maturity investment securities, at amortized cost 491,871     226,947        
Held-to-maturity investment securities 484,654              
Stock in Federal Home Loan Bank, at cost 10,000     8,680        
Allowance for credit losses (75,944) $ (78,252)   (101,201) (91,459) $ (81,307)   $ (53,355)
Total loans, net 5,046,180     5,232,642        
Loans held for sale, at lower of cost or fair value 53,998     28,275        
Other assets 691,857     629,149        
Goodwill 82,190     82,190        
Total assets 15,760,163     15,004,007        
Liabilities and shareholder’s equity                
Other 618,369     618,438        
Total liabilities 13,342,327     12,632,212        
Retained earnings 740,566     660,398        
Accumulated other comprehensive income (loss), net of taxes                
Accumulated other comprehensive loss, net of tax benefits (40,113)     (1,264)        
Total shareholders’ equity 2,383,543 $ 2,367,329 $ 2,321,293 2,337,502 $ 2,323,231 $ 2,291,398 $ 2,276,505 $ 2,280,260
Total liabilities and shareholders’ equity 15,760,163     15,004,007        
Other assets                
Premises and equipment, net 5,335,130     5,265,735        
Other assets 691,857     629,149        
Other liabilities                
Other liabilities 618,369     618,438        
American Savings Bank (ASB)                
Assets                
Cash and due from banks 109,942     178,422        
Interest-bearing deposits 80,007     114,304        
Cash and cash equivalents 189,949     292,726        
Investment securities                
Available-for-sale investment securities, at fair value 2,580,830     1,970,417        
Held-to-maturity investment securities, at amortized cost 491,871     226,947        
Held-to-maturity investment securities 484,654     229,963        
Stock in Federal Home Loan Bank, at cost 10,000     8,680        
Collateral-dependent loans, amortized cost 5,122,124     5,333,843        
Allowance for credit losses (75,944)     (101,201)        
Total loans, net 5,046,180     5,232,642        
Loans held for sale, at lower of cost or fair value 53,998     28,275        
Other assets 555,401     554,656        
Goodwill 82,190     82,190        
Total assets 9,010,419     8,396,533        
Liabilities and shareholder’s equity                
Deposit liabilities—noninterest-bearing 2,931,394     2,598,500        
Deposit liabilities—interest-bearing 5,045,144     4,788,457        
Other borrowings 129,305     89,670        
Other 168,064     183,731        
Total liabilities 8,273,907     7,660,358        
Common stock 1     1        
Additional paid-in capital 353,429     351,758        
Retained earnings 408,575     369,470        
Accumulated other comprehensive income (loss), net of taxes                
Net unrealized gains (losses) on securities (20,322)     19,986        
Retirement benefit plans (5,171)     (5,040)        
Accumulated other comprehensive loss, net of tax benefits (25,493)     14,946        
Total shareholders’ equity 736,512     736,175        
Total liabilities and shareholders’ equity 9,010,419     8,396,533        
Other assets                
Bank-owned life insurance 166,486     163,265        
Premises and equipment, net 205,624     206,134        
Accrued interest receivable 22,036     24,616        
Mortgage-servicing rights 10,272     10,020        
Low-income housing investments 84,728     83,435        
Other 66,255     67,186        
Other assets 555,401     554,656        
Other liabilities                
Accrued expenses 59,270     62,694        
Federal and state income taxes payable 0     6,582        
Cashier’s checks 37,451     38,011        
Advance payments by borrowers 5,129     10,207        
Other 66,214     66,237        
Other liabilities $ 168,064     $ 183,731