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Consolidated Statements of Condition (Unaudited) (USD $)
In Thousands, unless otherwise specified
Sep. 30, 2013
Dec. 31, 2012
Assets    
Interest-Bearing Deposits $ 3,048 $ 3,393
Funds Sold 254,940 185,682
Investment Securities    
Available-for-Sale 2,277,136 3,367,557
Held to Maturity (Fair Value of $4,621,491 and $3,687,676) 4,633,399 3,595,065
Loans Held for Sale 18,795 21,374
Loans and Leases 6,006,642 5,854,521
Allowance for Loan and Lease Losses (123,680) (128,857)
Net Loans and Leases 5,882,962 5,725,664
Total Earning Assets 13,070,280 12,898,735
Cash and Noninterest-Bearing Deposits 131,228 163,786
Premises and Equipment 105,181 105,005
Accrued Interest Receivable 46,047 43,077
Foreclosed Real Estate 3,036 3,887
Mortgage Servicing Rights 28,015 25,240
Goodwill 31,517 31,517
Other Assets 433,567 457,125
Total Assets 13,848,871 13,728,372
Deposits    
Noninterest-Bearing Demand 3,524,638 3,367,185
Interest-Bearing Demand 2,320,452 2,163,473
Savings 4,503,963 4,399,316
Time 1,259,081 1,599,508
Total Deposits 11,608,134 11,529,482
Funds Purchased 9,983 11,296
Securities Sold Under Agreements to Repurchase 847,239 758,947
Long-Term Debt 174,717 128,055
Retirement Benefits Payable 47,338 47,658
Accrued Interest Payable 6,040 4,776
Taxes Payable and Deferred Taxes 40,364 88,014
Other Liabilities 122,370 138,479
Total Liabilities 12,856,185 12,706,707
Shareholders’ Equity    
Common Stock ($.01 par value; authorized 500,000,000 shares; issued / outstanding: September 30, 2013 - 57,487,855 / 44,539,247 and December 31, 2012 - 57,319,352 / 44,754,835) 572 571
Capital Surplus 520,510 515,619
Accumulated Other Comprehensive Income (Loss) (33,510) 29,208
Retained Earnings 1,132,996 1,084,477
Treasury Stock, at Cost (Shares: September 30, 2013 - 12,948,608 and December 31, 2012 - 12,564,517) (627,882) (608,210)
Total Shareholders’ Equity 992,686 1,021,665
Total Liabilities and Shareholders’ Equity $ 13,848,871 $ 13,728,372