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Parent Company Condensed Financial Information - Statements of Cash Flows (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
OPERATING ACTIVITIES      
Net income $ 144,781 $ 135,520 $ 110,343
Net Cash Provided by Operating Activities 171,749 240,525 214,852
FINANCING ACTIVITIES      
Repayments on long-term borrowings (5,464) (7,689) (11,001)
Repurchase of shares for taxes on restricted stock (798) (808) (630)
Purchase of treasury shares (19,808) (7,637) 0
Cash dividends paid to common shareholders (49,708) (46,952) (44,325)
Net Cash Provided by (Used in) Financing Activities 296,073 (554,053) 464,458
Net increase (decrease) in cash and due from banks 23,603 (712,206) 692,549
Cash and due from banks at beginning of period 210,009 922,215 229,666
Cash and Due From Banks at End of Period 233,612 210,009 922,215
S&T      
OPERATING ACTIVITIES      
Net income 144,781 135,520 110,343
Equity in undistributed (earnings) losses of subsidiaries (63,489) (78,543) (52,217)
Other 1,402 1,468 761
Net Cash Provided by Operating Activities 82,694 58,445 58,887
FINANCING ACTIVITIES      
Repayments on long-term borrowings (5,464) 0 (9,750)
Repurchase of shares for taxes on restricted stock (798) (808) (629)
Purchase of treasury shares (19,808) (7,637) 0
Cash dividends paid to common shareholders (49,708) (46,952) (44,324)
Net Cash Provided by (Used in) Financing Activities (75,778) (55,397) (54,703)
Net increase (decrease) in cash and due from banks 6,916 3,048 4,184
Cash and due from banks at beginning of period 13,817 10,769 6,585
Cash and Due From Banks at End of Period $ 20,733 $ 13,817 $ 10,769