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Fair Value Measurement (Schedule Of Carrying Value And Fair Value Of Financial Instruments Not Recorded At Fair Value) (Details) - USD ($)
$ in Thousands
Jun. 30, 2020
Mar. 31, 2020
Dec. 31, 2019
Jun. 30, 2019
Mar. 31, 2019
Dec. 31, 2018
Financial assets:            
Equity and other investment securities $ 81,958   $ 80,165      
Investment securities available for sale 2,865,690   2,814,682      
Investment securities held to maturity 3,143   3,260      
Loans held for sale, at fair value 605,399   513,431      
Loans and leases, net 22,314,710   21,038,055      
Restricted equity securities 54,062   46,463      
Residential mortgage servicing rights 96,356 $ 94,346 115,010 $ 139,780 $ 158,946 $ 169,025
Bank owned life insurance 324,873   320,611      
Derivatives 406,038   150,574      
Financial liabilities:            
Deposits 24,844,378   22,481,504      
Securities sold under agreements to repurchase 398,414   311,308      
Borrowings 1,096,559   906,635      
Junior subordinated debentures, at fair value 232,936   274,812      
Junior subordinated debentures, at amortized cost 88,382   88,496      
Derivatives 13,011   8,808      
Carrying Value            
Financial assets:            
Cash and cash equivalents 2,264,274   1,362,756      
Equity and other investment securities 81,958   80,165      
Investment securities available for sale 2,865,690   2,814,682      
Investment securities held to maturity 3,143   3,260      
Loans held for sale, at fair value 605,399   513,431      
Loans and leases, net 22,314,710   21,038,055      
Restricted equity securities 54,062   46,463      
Residential mortgage servicing rights 96,356   115,010      
Bank owned life insurance 324,873   320,611      
Derivatives 406,038   150,574      
Financial liabilities:            
Deposits 24,844,378   22,481,504      
Securities sold under agreements to repurchase 398,414   311,308      
Borrowings 1,096,559   906,635      
Junior subordinated debentures, at fair value 232,936   274,812      
Junior subordinated debentures, at amortized cost 88,382   88,496      
Derivatives 13,011   8,808      
Fair Value            
Financial assets:            
Cash and cash equivalents 2,264,274   1,362,756      
Equity and other investment securities 81,958   80,165      
Investment securities available for sale 2,865,690   2,814,682      
Investment securities held to maturity 3,969   4,263      
Loans held for sale, at fair value 605,399   513,431      
Loans and leases, net 22,865,324   21,274,319      
Restricted equity securities 54,062   46,463      
Residential mortgage servicing rights 96,356   115,010      
Bank owned life insurance 324,873   320,611      
Derivatives 406,038   150,574      
Financial liabilities:            
Deposits 24,888,329   22,503,916      
Securities sold under agreements to repurchase 398,414   311,308      
Borrowings 1,103,195   906,160      
Junior subordinated debentures, at fair value 232,936   274,812      
Junior subordinated debentures, at amortized cost 62,742   70,909      
Derivatives $ 13,011   $ 8,808