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Additional Cash Flow Information
12 Months Ended
Dec. 31, 2021
Supplemental Cash Flow Information [Abstract]  
Additional Cash Flow Information ADDITIONAL CASH FLOW INFORMATION
The following is a summary of the Company’s additional cash flow information during the years ended December 31: 
(In thousands)202120202019
Interest paid$82,914 $123,995 $182,541 
Income taxes paid55,202 47,777 51,999 
Transfers of loans to foreclosed assets held for sale4,322 10,712 4,760 
Transfers of premises to foreclosed assets and other real estate owned— 3,120 647 
Transfers of premises to premises held for sale— 11,200 — 
Transfers of other real estate owned to premises held for sale— 4,163 — 
Transfer of premises held for sale to other real estate owned4,368 — — 
Transfer of premises held for sale to premises5,610 — — 
Right-of-use lease assets obtained in exchange for lessee operating lease liabilities (adoption of ASU 2016-02)
— — 32,757 
Transfers of available-for-sale to held-to-maturity securities500,809 — — 
Transfers of held-to-maturity to available-for-sale securities
— — 216,373 
Transfers of loans to other assets held for sale
— 114,925 259,939 
Transfers of deposits to other liabilities held for sale
— 213,025 159,853