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Consolidated Condensed Statements Of Cash Flow (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Operating Activities    
Net income/(loss) $ (12,821) $ (59,877)
Adjustments to reconcile net income/(loss) to net cash provided/(used) by operating activities:    
Provision for loan losses 40,000 63,000
Provision/(benefit) for deferred income tax (44,806) (83,807)
Depreciation and amortization of premises and equipment 26,507 26,320
Amortization of intangible assets 2,784 2,931
Net other amortization and accretion 26,387 59,161
Net (increase)/decrease in derivatives (7,858) (11,635)
Market value adjustment on mortgage servicing rights (20,267) 4,541
Repurchase and foreclosure provision 200,000 299,256
Fair value adjustment to foreclosed real estate 3,279 7,873
Litigation and regulatory matters 6,299 29,013
(Gain)/losses on divestitures (638) (485)
Stock-based compensation expense 12,452 12,398
Tax benefit reversals stock-based compensation plans 1,509 3,946
Equity securities (gains)/losses, net (28) (5,065)
Debt securities (gains)/losses, net 451 (328)
Net (gain)/losses on sale/disposal of fixed assets 1,050 (2,432)
Net (increase)/decrease in:    
Trading securities (84,502) (223,064)
Loans held-for-sale 30,297 3,347
Capital markets receivables (113,850) (626,203)
Interest receivable 890 (6,256)
Other assets 105,048 211,339
Net increase/(decrease) in:    
Capital markets payables 91,923 409,493
Interest payable 5,810 12,684
Other liabilities (177,245) (183,396)
Trading liabilities 21,540 169,685
Total adjustments 127,032 172,316
Net cash provided/(used) by operating activities 114,211 112,439
Available-for-sale securities:    
Sales 63,787 47,493
Maturities 783,033 758,573
Purchases (977,723) (870,973)
Premises and equipment:    
Sales 0 6,845
Purchases (18,949) (14,826)
Net (increase)/decrease in:    
Loans 1,461,678 (291,042)
Interests retained from securitizations classified as trading securities 4,088 6,915
Interest-bearing cash 196,178 11,940
Cash receipts related to divestitures 1,638 5,278
Cash received for acquisition 50,934 0
Net cash provided/(used) by investing activities 1,564,664 (339,797)
Common stock:    
Stock options exercised 608 133
Cash dividends paid (26,467) (7,604)
Repurchase of shares (91,395) [1] (98,902) [1]
Tax benefit reversals stock-based compensation plans (1,509) (3,946)
Preferred stock issuance 95,624 0
Cash dividends paid - preferred stock - noncontrolling interest (8,531) (8,531)
Cash dividends paid - Series A preferred stock (2,738) 0
Term borrowings:    
Payments/maturities (411,027) (208,637)
Increases in restricted and secured term borrowings 4,411 5,622
Net increase/(decrease) in:    
Deposits (707,898) 15,102
Short-term borrowings (611,399) 591,532
Net cash provided/(used) by financing activities (1,760,321) 284,769
Net increase/(decrease) in cash and cash equivalents (81,446) 57,411
Cash and cash equivalents at beginning of period 1,106,262 828,255
Cash and cash equivalents at end of period 1,024,816 885,666
Supplemental Disclosures    
Total interest paid 65,750 71,535
Total taxes paid 5,044 34,560
Total taxes refunded 26,035 168,391
Transfer from loans to other real estate owned $ 9,760 $ 25,986
[1] 2013 and 2012 include $87.6 million and $96.4 million, respectively, repurchased under the share repurchase program launched in fourth quarter 2011.