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Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
6 Months Ended
Jun. 30, 2021
Jun. 30, 2020
Statement of Cash Flows [Abstract]    
Net cash provided by operating activities $ 38,675 $ 30,042
Available-for-sale investment securities:    
Purchases (317,502) (89,445)
Proceeds from sales 58,483 11,582
Proceeds from principal payments, calls and prepayments 146,148 147,546
Held-to-maturity investment securities:    
Payments to Acquire Held-to-maturity Securities 116,941 8,404
Proceeds from principal payments 2,586 2,667
Other investment securities:    
Purchases (541) (5,470)
Proceeds from sales 5,696 5,516
Payments for (Proceeds from) Loans and Leases (116,441) 479,619
Net expenditures for premises and equipment (2,850) (2,722)
Proceeds from sales of other real estate owned 113 56
Proceeds from Life Insurance Policy 0 109
Business acquisitions, net of cash received 116,644 96,973
Investment in limited partnership and tax credit funds (4,996) (15)
Net cash used in investing activities (230,007) (515,172)
Financing activities:    
Net Change Noninterest-bearing Deposits, Domestic 183,722 334,524
Net Change Interest-bearing Deposits, Domestic 138,442 398,838
Net decrease in short-term borrowings (21,765) (159,065)
Proceeds from long-term borrowings 0 50,000
Payments on long-term borrowings (563) (667)
Cash dividends paid (13,898) (13,473)
Purchase of treasury stock under share repurchase program 0 20,000
Purchase of treasury stock in connection with employee incentive program and compensation plan for Boards of Directors to be held as treasury stock (998) (986)
Proceeds from issuance of common shares 365 40
Net cash provided by financing activities 285,305 589,211
Net increase in cash and cash equivalents 93,973 104,081
Cash and cash equivalents at beginning of period 152,100 115,193
Cash and cash equivalents at end of period 246,073 219,274
Right-of-Use Asset Obtained in Exchange for Operating Lease Liability $ 79 $ 27