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Loans, Changes in the Allowance for Loan Losses by Portfolio Segment (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2018
Dec. 31, 2017
Changes in the allowance for loan losses by portfolio segment    
Balance at beginning of year $ 265,880 $ 278,335
Charge offs (50,536) (56,246)
Recoveries 20,179 16,791
Net charge offs (30,358) (39,455)
Provision for loan losses 2,500 27,000
Balance at end of period 238,023 265,880
Allowance for loan losses:    
Individually evaluated for impairment 15,304 25,846
Collectively evaluated for impairment 222,719 240,034
Acquired and accounted for under ASC 310-30(a) 0  
Balance at end of period 238,023 265,880
Loans:    
Individually evaluated for impairment 133,690 247,575
Collectively evaluated for impairment 22,801,887 20,537,416
Acquired and accounted for under ASC 310-30(a) 4,853  
Loans and Leases Receivable, Net of Deferred Income 22,940,429 20,784,991
Commercial and industrial    
Changes in the allowance for loan losses by portfolio segment    
Balance at beginning of year 123,068 140,126
Charge offs (30,837) (44,533)
Recoveries 13,714 11,465
Net charge offs (17,123) (33,068)
Provision for loan losses 2,890 16,010
Balance at end of period 108,835 123,068
Allowance for loan losses:    
Individually evaluated for impairment 5,721 10,838
Collectively evaluated for impairment 103,114 112,230
Acquired and accounted for under ASC 310-30(a) 0  
Balance at end of period 108,835 123,068
Loans:    
Individually evaluated for impairment 63,153 142,244
Collectively evaluated for impairment 7,331,898 6,257,449
Acquired and accounted for under ASC 310-30(a) 2,994  
Loans and Leases Receivable, Net of Deferred Income 7,398,044 6,399,693
Commercial real estate — owner occupied    
Changes in the allowance for loan losses by portfolio segment    
Balance at beginning of year 10,352 14,034
Charge offs (1,363) (344)
Recoveries 639 173
Net charge offs (724) (171)
Provision for loan losses (373) (3,511)
Balance at end of period 9,255 10,352
Allowance for loan losses:    
Individually evaluated for impairment 24 2,973
Collectively evaluated for impairment 9,231 7,379
Acquired and accounted for under ASC 310-30(a) 0  
Balance at end of period 9,255 10,352
Loans:    
Individually evaluated for impairment 5,852 26,234
Collectively evaluated for impairment 913,708 775,975
Acquired and accounted for under ASC 310-30(a) 883  
Loans and Leases Receivable, Net of Deferred Income 920,443 802,209
Commercial real estate — investor    
Changes in the allowance for loan losses by portfolio segment    
Balance at beginning of year 41,059 45,285
Charge offs (7,914) (991)
Recoveries 668 242
Net charge offs (7,246) (749)
Provision for loan losses 7,031 (3,477)
Balance at end of period 40,844 41,059
Allowance for loan losses:    
Individually evaluated for impairment 28 1,597
Collectively evaluated for impairment 40,816 39,462
Acquired and accounted for under ASC 310-30(a) 0  
Balance at end of period 40,844 41,059
Loans:    
Individually evaluated for impairment 2,384 19,118
Collectively evaluated for impairment 3,748,883 3,296,136
Acquired and accounted for under ASC 310-30(a) 287  
Loans and Leases Receivable, Net of Deferred Income 3,751,554 3,315,254
Real estate construction    
Changes in the allowance for loan losses by portfolio segment    
Balance at beginning of year 34,370 26,932
Charge offs (298) (604)
Recoveries 446 74
Net charge offs 149 (530)
Provision for loan losses (6,279) 7,968
Balance at end of period 28,240 34,370
Allowance for loan losses:    
Individually evaluated for impairment 75 86
Collectively evaluated for impairment 28,165 34,284
Acquired and accounted for under ASC 310-30(a) 0  
Balance at end of period 28,240 34,370
Loans:    
Individually evaluated for impairment 510 467
Collectively evaluated for impairment 1,334,500 1,451,217
Acquired and accounted for under ASC 310-30(a) 21  
Loans and Leases Receivable, Net of Deferred Income 1,335,031 1,451,684
Residential mortgage    
Changes in the allowance for loan losses by portfolio segment    
Balance at beginning of year 29,607 27,046
Charge offs (1,627) (2,611)
Recoveries 1,271 927
Net charge offs (355) (1,684)
Provision for loan losses (3,657) 4,245
Balance at end of period 25,595 29,607
Allowance for loan losses:    
Individually evaluated for impairment 6,023 6,512
Collectively evaluated for impairment 19,572 23,095
Acquired and accounted for under ASC 310-30(a) 0  
Balance at end of period 25,595 29,607
Loans:    
Individually evaluated for impairment 50,486 47,486
Collectively evaluated for impairment 8,226,642 7,499,048
Acquired and accounted for under ASC 310-30(a) 584  
Loans and Leases Receivable, Net of Deferred Income 8,277,712 7,546,534
Home equity    
Changes in the allowance for loan losses by portfolio segment    
Balance at beginning of year 22,126 20,364
Charge offs (3,236) (2,724)
Recoveries 2,628 3,194
Net charge offs (608) 470
Provision for loan losses (2,252) 1,292
Balance at end of period 19,266 22,126
Allowance for loan losses:    
Individually evaluated for impairment 3,312 3,718
Collectively evaluated for impairment 15,954 18,408
Acquired and accounted for under ASC 310-30(a) 0  
Balance at end of period 19,266 22,126
Loans:    
Individually evaluated for impairment 10,124 10,891
Collectively evaluated for impairment 884,266 872,913
Acquired and accounted for under ASC 310-30(a) 83  
Loans and Leases Receivable, Net of Deferred Income 894,473 883,804
Other consumer    
Changes in the allowance for loan losses by portfolio segment    
Balance at beginning of year 5,298 4,548
Charge offs (5,261) (4,439)
Recoveries 812 716
Net charge offs (4,448) (3,723)
Provision for loan losses 5,138 4,473
Balance at end of period 5,988 5,298
Allowance for loan losses:    
Individually evaluated for impairment 121 122
Collectively evaluated for impairment 5,867 5,176
Acquired and accounted for under ASC 310-30(a) 0  
Balance at end of period 5,988 5,298
Loans:    
Individually evaluated for impairment 1,181 1,135
Collectively evaluated for impairment 361,990 384,678
Acquired and accounted for under ASC 310-30(a) 0  
Loans and Leases Receivable, Net of Deferred Income $ 363,171 $ 385,813