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Condensed Consolidated Statements Of Cash Flows (USD $)
9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
CASH FLOWS FROM OPERATING ACTIVITIES:  
Net income$ 53,114,000$ 20,168,000
Adjustments to reconcile net income to net cash provided by operating activities:  
Amortization of investment premiums, net24,582,00012,230,000
Gain on sale of investment securities, net(7,491,000)(2,331,000)
Other-than-temporary impairment on investment securities held to maturity72,000332,000
Loss on sale of non-covered other real estate owned1,449,0001,379,000
Gain on sale of covered other real estate owned(1,469,000)(3,425,000)
Valuation adjustment on non-covered other real estate owned7,518,0002,163,000
Valuation adjustment on covered other real estate owned7,247,000925,000
Provision for non-covered loan and lease losses39,578,00096,101,000
Provision for covered loan and lease losses15,443,000667,000
Bargain purchase gain on acquisition (6,437,000)
Change in FDIC indemnification asset1,035,00011,075,000
Depreciation, amortization and accretion9,454,0009,121,000
Increase in mortgage servicing rights(4,100,000)(3,624,000)
Change in mortgage servicing rights carried at fair value1,942,0002,857,000
Change in junior subordinated debentures carried at fair value1,636,000(5,520,000)
Stock-based compensation2,930,0002,627,000
Net decrease in trading account assets543,000118,000
Gain on sale of loans(6,585,000)(9,282,000)
Origination of loans held for sale(518,915,000)(454,662,000)
Proceeds from sales of loans held for sale506,831,000439,663,000
Excess tax benefits from the exercise of stock options(4,000)(56,000)
Change in other assets and liabilities:  
Net decrease in other assets(4,066,000)20,723,000
Net increase in other liabilities11,905,0004,030,000
Net cash provided by operating activities142,649,000138,842,000
CASH FLOWS FROM INVESTING ACTIVITIES:  
Purchases of investment securities available for sale(822,898,000)(1,004,194,000)
Purchases of investment securities held to maturity(1,573,000) 
Proceeds from investment securities available for sale665,131,000262,067,000
Proceeds from investment securities held to maturity1,486,0001,080,000
Redemption of restricted equity securities1,766,000282,000
Net non-covered loan and lease (originations) paydowns(249,199,000)144,292,000
Net covered loan and lease paydowns75,791,00070,698,000
Proceeds from sales of non-covered loans9,262,00035,463,000
Proceeds from disposals of furniture and equipment199,0001,100,000
Purchases of premises and equipment(23,137,000)(40,978,000)
Net proceeds from FDIC indemnification asset57,885,00024,103,000
Proceeds from sales of non-covered other real estate owned25,691,00018,867,000
Proceeds from sales of covered other real estate owned12,550,0009,544,000
Proceeds from sale of acquired insurance portfolio 5,150,000
Cash acquired in merger, net of cash consideration paid 179,046,000
Net cash used by investing activities(247,046,000)(293,480,000)
CASH FLOWS FROM FINANCING ACTIVITIES:  
Net (decrease) increase in deposit liabilities(28,606,000)713,503,000
Net increase in securities sold under agreements to repurchase72,602,00010,153,000
Repayment of term debt(5,000,000)(161,968,000)
Redemption of preferred stock (214,181,000)
Proceeds from issuance of preferred stock 198,289,000
Net proceeds from issuance of common stock 89,786,000
Redemption of warrants (4,500,000)
Dividends paid on preferred stock (3,686,000)
Dividends paid on common stock(17,260,000)(14,882,000)
Excess tax benefits from stock based compensation4,00056,000
Proceeds from stock options exercised310,000977,000
Retirement of common stock(2,061,000)(282,000)
Net cash provided by financing activities19,989,000613,265,000
Net (decrease) increase in cash and cash equivalents(84,408,000)458,627,000
Cash and cash equivalents, beginning of period1,004,125,000605,413,000
Cash and cash equivalents, end of period919,717,0001,064,040,000
SUPPLEMENTAL DISCLOSURES OF CASH FLOW INFORMATION:  
Interest62,680,00071,887,000
Income taxes24,133,000175,000
SUPPLEMENTAL DISCLOSURE OF NONCASH INVESTING AND FINANCING ACTIVITIES:  
Change in unrealized gains on investment securities available for sale, net of taxes18,133,00010,671,000
Change in unrealized losses on investment securities held to maturity related to factors other than credit, net of taxes52,000557,000
Cash dividend declared on common and preferred stock and payable after period-end8,056,0005,743,000
Transfer of non-covered loans to non-covered other real estate owned36,654,00029,867,000
Transfer of covered loans to covered other real estate owned11,924,00010,453,000
Transfer from FDIC indemnification asset to due from FDIC and other39,000,00025,984,000
Receivable from sales of covered other real estate owned420,000 
Transfer of covered loans to non-covered loans10,610,000 
Conversion of preferred stock to common stock 198,289,000
Acquisitions:  
Assets acquired 1,512,048,000
Liabilities assumed $ 1,505,611,000