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Supplemental disclosure on the consolidated statements of cash flows (Tables)
3 Months Ended
Mar. 31, 2019
Supplemental Cash Flow Information  
Schedule Of Cash Flow Supplemental Disclosures Table Text Block
(In thousands)March 31, 2019March 31, 2018
Non-cash activities:
Loans transferred to other real estate$8,628$6,254
Loans transferred to other property12,0729,405
Total loans transferred to foreclosed assets20,70015,659
Loans transferred to other assets5,6783,178
Financed sales of other real estate assets3,6435,250
Financed sales of other foreclosed assets6,4354,083
Total financed sales of foreclosed assets10,0789,333
Transfers from loans held-for-sale to loans held-in-portfolio7,2839,215
Loans securitized into investment securities[1]92,067138,242
Trades receivable from brokers and counterparties32,04341,683
Trades payable to brokers and counterparties7,22053,973
Receivables from investments maturities-20,000
Recognition of mortgage servicing rights on securitizations or asset transfers12,0842,557
Interest capitalized on loans subject to the temporary payment moratorium-481
Loans booked under the GNMA buy-back option5,782219,487
Capitalization of lease right of use asset155,727-
[1] Includes loans securitized into trading securities and subsequently sold before quarter end.
Reconciliation Of Cash And Due From Banks And Restricted Cash [Table Text Block]
(In thousands)March 31, 2019March 31, 2018
Cash and due from banks$355,720$261,864
Restricted cash and due from banks20,83818,213
Restricted cash in money market investments9,1859,804
Total cash and due from banks, and restricted cash[2]$385,743$289,881
[2] Refer to Note 5 - Restrictions on cash and due from banks and certain securities for nature of restrictions.