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Leases (Tables)
3 Months Ended
Mar. 31, 2022
Leases [Abstract]  
Schedule of Occupancy Expense and Supplemental Cash Flow Information Related to Operating Leases Our lease expense is a component of "Occupancy expense" on our condensed consolidated statements of earnings. The following table presents the components of lease expense for the periods indicated:
Three Months Ended
March 31,
20222021
(In thousands)
Operating lease expense:
Fixed costs$8,479 $8,496 
Variable costs23 15 
Short-term lease costs364 256 
Sublease income(1,076)(1,099)
Net lease expense$7,790 $7,668 
Schedule of Cash Flow, Supplemental Disclosures The following table presents supplemental cash flow information related to leases for the periods indicated:
Three Months Ended
March 31,
20222021
(In thousands)
Cash paid for amounts included in the measurement of lease liabilities:
Operating cash flows from operating leases$8,839 $9,278 
ROU assets obtained in exchange for lease obligations:
Operating leases$17,301 $10,482 
Schedule of Supplemental Balance Sheet Information Related to Operating Leases The following table presents supplemental balance sheet and other information related to operating leases as of the dates indicated:
March 31,December 31,
20222021
(Dollars in thousands)
Operating leases:
Operating lease right-of-use assets, net$130,267 $123,225 
Operating lease liabilities$151,459 $142,117 
Weighted average remaining lease term (in years)6.05.6
Weighted average discount rate2.23 %2.23 %
Schedule of Maturities of Operating Leases The following table presents the maturities of operating lease liabilities as of the date indicated:
March 31, 2022
(In thousands)
Period ending December 31,
2022$27,467 
202334,955 
202427,881 
202521,023 
202615,889 
Thereafter35,547 
Total operating lease liabilities162,762 
Less: Imputed interest(11,303)
Present value of operating lease liabilities$151,459 
Schedule of Payments to be Received on Operating Leases The following table presents the rental payments to be received on operating leases as of the date indicated:
March 31, 2022
(In thousands)
Period ending December 31,
2022$35,552 
202339,743 
202434,753 
202527,428 
202621,670 
Thereafter43,191 
Total undiscounted cash flows$202,337