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Consolidated Condensed Statements of Cash Flows (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Mar. 31, 2014
Mar. 31, 2013
Operating Activities    
Net income/(loss) $ 49,230 $ 44,969
Adjustments to reconcile net income/(loss) to net cash provided/(used) by operating activities:    
Provision for loan losses 10,000 15,000
Provision/(benefit) for deferred income taxes 4,582 9,819
Depreciation and amortization of premises and equipment 9,063 8,802
Amortization of intangible assets 982 928
Net other amortization and accretion 4,030 9,822
Net (increase)/decrease in derivatives (655) (1,732)
Fair value adjustment on mortgage servicing rights (1,139) (833)
Fair value adjustment on foreclosed real estate 858 1,018
Litigation and regulatory matters 90 5,170
(Gains)/losses on divestitures 0 (638)
Stock-based compensation expense 2,760 4,220
Tax benefit reversals stock-based compensation plans 233 480
Equity securities (gains)/losses, net (5,657) (24)
(Gains)/losses on extinguishment of debt 4,350 0
Loss on deconsolidation of debt 1,960 0
Net (gains)/losses on sale/disposal of fixed assets 750 387
Proceeds from sale of mortgage servicing rights 68,519 0
Net (increase)/decrease in:    
Trading securities (391,890) (136,439)
Loans held-for-sale 8,793 11,063
Capital markets receivables (5,827) (52,155)
Interest receivable (3,802) (9,932)
Other assets 243,707 11,421
Net increase/(decrease) in:    
Capital markets payables 18,337 (12,375)
Interest payable 9,431 15,323
Other liabilities 5,538 (88,882)
Trading liabilities 298,909 216,877
Total adjustments 283,922 7,320
Net cash provided/(used) by operating activities 333,152 52,289
Available-for-sale securities:    
Sales 13 0
Maturities 187,922 300,178
Purchases (346,146) (442,309)
Premises and equipment:    
Purchases (3,752) (5,656)
Net (increase)/decrease in:    
Loans 247,952 795,824
Interests retained from securitizations classified as trading securities 418 1,413
Interest-bearing cash 44,757 (77,809)
Cash receipts related to divestitures 0 1,638
Net cash provided/(used) by investing activities 131,164 573,279
Common stock:    
Stock options exercised 229 16
Cash dividends paid (11,895) (2,488)
Repurchase of shares (2,351) (32,495) [1]
Tax benefit reversals stock-based compensation plans (233) (480)
Preferred stock issuance 0 95,624
Cash dividends paid - preferred stock - noncontrolling interest (2,875) (2,875)
Cash dividends paid - Series A preferred stock (1,550) 0
Term borrowings:    
Payments/maturities (224,724) (14,306)
Increases in restricted and secured term borrowings 240 3,196
Net increase/(decrease) in:    
Deposits (61,880) (425,242)
Short-term borrowings 84,915 (311,084)
Net cash provided/(used) by financing activities (220,124) (690,134)
Net increase/(decrease) in cash and cash equivalents 244,192 (64,566)
Cash and cash equivalents at beginning of period 827,909 1,106,262
Cash and cash equivalents at end of period 1,072,101 1,041,696
Supplemental Disclosures    
Total interest paid 11,402 9,285
Total taxes paid 6,340 1,488
Total taxes refunded 1,238 2,377
Transfer from loans to other real estate owned $ 6,902 $ 1,217
[1] Quarter ended March 31, 2013, includes $30.0 million repurchased under the share repurchase program launched in fourth quarter 2011.