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Consolidated Statements of Condition (Unaudited) (USD $)
In Thousands, unless otherwise specified
Mar. 31, 2014
Dec. 31, 2013
Assets    
Interest-Bearing Deposits $ 4,085 $ 3,617
Funds Sold 382,154 271,414
Investment Securities    
Available-for-Sale 2,188,064 2,243,697
Held to Maturity (Fair Value of $4,774,032 and $4,697,587) 4,777,494 4,744,519
Loans Held for Sale 2,437 6,435
Loans and Leases 6,209,857 6,095,387
Allowance for Loan and Lease Losses (114,126) (115,454)
Net Loans and Leases 6,095,731 5,979,933
Total Earning Assets 13,449,965 13,249,615
Cash and Noninterest-Bearing Deposits 159,079 188,715
Premises and Equipment 107,323 108,636
Accrued Interest Receivable 46,431 43,930
Foreclosed Real Estate 3,450 3,205
Mortgage Servicing Rights 27,378 28,123
Goodwill 31,517 31,517
Other Assets 437,975 430,539
Total Assets 14,263,118 14,084,280
Deposits    
Noninterest-Bearing Demand 3,679,410 3,681,128
Interest-Bearing Demand 2,378,414 2,355,608
Savings 4,515,026 4,560,150
Time 1,471,623 1,317,770
Total Deposits 12,044,473 11,914,656
Funds Purchased 9,982 9,982
Short-Term Borrowings 375 0
Securities Sold Under Agreements to Repurchase 797,213 770,049
Long-Term Debt 174,695 174,706
Retirement Benefits Payable 35,111 34,965
Accrued Interest Payable 5,743 4,871
Taxes Payable and Deferred Taxes 45,811 34,907
Other Liabilities 120,811 128,168
Total Liabilities 13,234,214 13,072,304
Shareholders’ Equity    
Common Stock ($.01 par value; authorized 500,000,000 shares; issued / outstanding: March 31, 2014 - 57,620,212 / 44,467,593 and December 31, 2013 - 57,480,846 / 44,490,385) 573 572
Capital Surplus 524,912 522,505
Accumulated Other Comprehensive Loss (25,396) (31,823)
Retained Earnings 1,170,068 1,151,754
Treasury Stock, at Cost (Shares: March 31, 2014 - 13,152,619 and December 31, 2013 - 12,990,461) (641,253) (631,032)
Total Shareholders’ Equity 1,028,904 1,011,976
Total Liabilities and Shareholders’ Equity $ 14,263,118 $ 14,084,280