7Baggers

Central Pacific Financial Corp
(NYSE:CPF) 

CPF stock logo

Central Pacific Financial Corp. operates as the holding company for Central Pacific Bank that provides commercial banking products and services to businesses, professionals, and individuals in the United States. The company operates through three segments: Banking Operations, Treasury, and All Other...

Full Time Employees: 789
Sector: Financial Services
Industry: Banks-Regional

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At a glance:
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Quarterly
Annual
    Unit: USD2026-03-31 2025-12-31 2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-12-31 2016-09-30 2016-06-30 2016-03-31 2013-06-30 2013-03-31 2012-09-30 2012-06-30 2012-03-31 2011-12-31 2011-09-30 2011-06-30 2011-03-31 2010-12-31 2010-09-30 2010-06-30 2010-03-31 2009-12-31 2009-09-30 2009-06-30 2009-03-31 2008-09-30 2007-09-30 2007-06-30 2007-03-31 2006-12-31 2006-09-30 2006-06-30 2006-03-31 2005-12-31 2005-09-30 2005-06-30 2005-03-31 2004-12-31 2004-09-30 2004-06-30 2004-03-31 2003-12-31 2003-09-30 2003-06-30 2003-03-31 
                                                                                  
      interest and dividend income:
                                                                                  
      loans, including fees
    64,323,000                                                                              
      taxable investment securities
    9,210,000 9,401,000 9,776,000 9,871,000 9,801,000 8,626,000 8,975,000 8,466,000 7,211,000 7,292,000 7,016,000 7,145,000                                                                   
      tax-exempt investment securities
    682,000 696,000 709,000 709,000 708,000 723,000 551,000 598,000 655,000 686,000 709,000 727,000                                                                   
      deposits in other financial institutions
    2,500,000                                                                              
      dividend income on frb and fhlb stock
    381,000                                                                              
      total interest income
    77,096,000 78,877,000 79,959,000 78,120,000 77,206,000 77,960,000 77,897,000 75,840,000 74,402,000 74,113,000 72,412,000 69,324,000 66,808,000 65,037,000 59,669,000 55,064,000 52,886,000 55,053,000 57,969,000 53,959,000 51,781,000 53,901,000 51,753,000 52,950,000 53,814,000 55,157,000 53,980,000 54,105,000 53,141,000 52,339,000 50,136,000 48,509,000 47,310,000 47,276,000 45,993,000 45,080,000 44,213,000 42,255,000 41,765,000 41,870,000 41,249,000 34,992,000 32,595,000 31,674,000 32,479,000 32,903,000 33,573,000 34,330,000 34,184,000 34,363,000 36,355,000 38,038,000 40,100,000 46,261,000 51,978,000 59,410,000 64,441,000 66,408,000 74,486,000 88,417,000 87,533,000 86,417,000 85,305,000 82,420,000 77,894,000 74,762,000 72,695,000 66,860,000 63,911,000 59,784,000 22,818,000 35,761,000 27,899,000 27,612,000 20,828,500 27,909,000 27,532,000 27,873,000 
      interest expense:
                                                                                  
      deposits:
                                                                                  
      demand
    522,000 441,000 490,000 443,000 452,000 686,000 484,000 490,000 499,000 467,000 460,000 411,000 363,000 333,000 217,000 144,000 112,000 104,000 101,000 93,000 86,000 105,000 115,000 114,000 176,000 202,000 207,000 199,000 192,000 180,000 181,000 193,000 180,000 170,000 177,000 154,000 140,000 129,000 126,000 123,000 111,000 87,000 81,000 83,000 89,000 86,000 101,500 113,000 161,000 132,000 196,000 181,000 250,000 258,000 260,000 364,000 355,000 321,000 251,000 139,000 141,000 138,000                 
      savings and money market
    7,502,000 8,004,000 8,898,000 8,414,000 8,862,000 9,388,000 10,235,000 8,977,000 8,443,000 7,459,000 6,464,000 4,670,000 3,386,000 2,488,000 1,054,000 317,000 329,000 352,000 332,000 282,000 274,000 314,000 417,000 567,000 1,118,000 1,253,000 1,549,000 1,507,000 791,000 579,000 593,000 459,000 369,000 302,000 281,000 259,000 257,000 257,000 254,000 269,000 263,000 219,000 217,000 232,000 252,000 299,000 422,750 459,000 500,000 732,000 1,055,000 1,323,000 1,487,000 1,649,000 2,381,750 3,250,000 3,414,000 2,863,000 3,171,000 6,321,000 6,166,000 6,284,000                 
      time
    6,665,000 6,999,000 7,410,000 7,616,000 8,107,000 9,881,000 11,040,000 12,173,000 12,990,000 12,741,000 11,268,000 8,932,000 6,264,000 4,063,000 1,092,000 490,000 469,000 478,000 428,000 498,000 588,000 813,000 1,284,000 2,124,000 3,268,000 3,653,000 4,432,000 4,867,000 5,092,000 4,567,000 4,744,000 4,034,000 3,425,000 2,967,000 2,637,000 2,136,000 1,717,000 1,175,000 1,044,000 957,000 898,000 720,000 759,000 869,000 962,000 1,073,000 1,444,500 1,499,000 1,902,000 2,377,000 2,935,000 3,666,000 3,808,000 3,981,000 6,082,750 6,218,000 8,219,000 9,894,000 10,932,000 17,925,000 17,424,000 15,835,000                 
      long-term debt
    1,049,000                                                                              
      total interest expense
    15,738,000 16,790,000 18,658,000 18,324,000 19,507,000 22,186,000 24,046,000 23,919,000 24,215,000 22,971,000 20,484,000 16,590,000 12,612,000 8,752,000 4,304,000 2,086,000 1,951,000 1,957,000 1,883,000 1,898,000 1,977,000 2,427,000 2,633,000 3,691,000 5,984,000 7,223,000 8,331,000 8,727,000 8,028,000 7,660,000 6,811,000 5,837,000 4,988,000 4,452,000 3,998,000 3,451,000 2,958,000 2,551,000 2,339,000 2,261,000 2,038,000 1,819,000 1,926,000 2,114,000 2,220,000 2,401,000 2,761,000 4,501,000 5,205,000 6,162,000 9,336,000 10,669,000 10,904,000 11,192,000 13,441,000 15,958,000 18,381,000 19,935,000 23,902,000 35,587,000 34,650,000 32,730,000 31,910,000 29,325,000 25,727,000 22,570,000 20,426,000 17,286,000 15,401,000 13,464,000 4,347,000 7,195,000 5,282,000 4,911,000 3,827,750 4,603,000 5,241,000 5,467,000 
      net interest income
    61,358,000 62,087,000 61,301,000 59,796,000 57,699,000 55,774,000 53,851,000 51,921,000 50,187,000 51,142,000 51,928,000 52,734,000 54,196,000 56,285,000 55,365,000 52,978,000 50,935,000 53,096,000 56,086,000 52,061,000 49,804,000 51,474,000 49,120,000 49,259,000 47,830,000 47,934,000 45,649,000 45,378,000 45,113,000 44,679,000 43,325,000 42,672,000 42,322,000 42,824,000 41,995,000 41,629,000 41,255,000 39,704,000 39,426,000 39,609,000 39,211,000 33,173,000 30,669,000 29,560,000 30,259,000 30,502,000 30,812,000 29,829,000 28,979,000 28,201,000 27,019,000 27,369,000 29,196,000 35,069,000 38,537,000 43,452,000 46,060,000 46,473,000 50,584,000 52,830,000 52,883,000 53,687,000 53,395,000 53,095,000 52,167,000 52,192,000 52,269,000 49,574,000 48,510,000 46,320,000 18,471,000 28,566,000 22,617,000 22,701,000 17,000,750 23,306,000 22,291,000 22,406,000 
      provision for credit losses
    2,353,000 3,329,000 4,157,000 4,987,000 4,172,000 2,252,000 2,833,000 2,239,000 3,936,000                                                                      
      net interest income after provision for credit losses
    59,005,000 59,691,000 57,144,000 54,809,000 53,527,000 54,956,000 51,018,000 49,682,000 46,251,000                                                                      
      other operating income:
                                                                                  
      mortgage banking income
    649,000 1,186,000 958,000 744,000 597,000 913,000 822,000 1,040,000 613,000 611,000 765,000 690,000 526,000 667,000 831,000 1,140,000 1,172,000 1,902,000 1,327,000 1,533,000 2,970,000 5,434,000 4,345,000 3,566,000 337,000 1,194,000 1,764,000 1,601,000 1,424,000 1,770,000 1,923,000 1,775,000 1,847,000 1,531,000 1,531,000 1,957,000 1,943,000                                          
      service charges on deposit accounts
    2,299,000 2,423,000 2,330,000 2,124,000 2,147,000 2,251,000 2,167,000 2,135,000 2,103,000 2,312,000 2,193,000 2,137,000 2,111,000 2,172,000 2,138,000 2,026,000 1,861,000 1,800,000 1,637,000 1,443,000 1,478,000 1,560,000 1,475,000 1,149,000 2,050,000 2,159,000 2,125,000 2,041,000 2,081,000 2,237,000 2,189,000 1,977,000 2,003,000 2,130,000 2,182,000 2,120,000 2,036,000 2,065,000 1,954,000 1,908,000 1,964,000 1,583,000 1,591,000 2,130,000 2,273,000 2,316,000 1,891,000 2,501,000 2,449,000 2,614,000 2,849,000 2,793,000 2,982,000 3,207,000 2,884,250 4,052,000 3,948,000 3,537,000 3,702,000 3,581,000 3,463,000 3,444,000 3,845,000 3,570,000 3,457,000 3,536,000 3,501,000 3,383,000 2,456,000 2,442,000 1,120,500 1,671,000 1,368,000 1,443,000 807,250 1,097,000 1,045,000 1,087,000 
      other service charges and fees
    5,789,000 5,570,000 6,472,000 5,957,000 5,766,000 5,476,000 5,947,000 5,869,000 5,261,000 5,349,000 5,203,000 4,994,000 4,985,000 4,972,000 4,955,000 4,610,000 4,488,000 5,016,000 4,942,000 4,619,000 3,790,000 3,709,000 3,345,000 2,916,000 4,897,000 3,879,000 3,724,000 3,691,000 3,064,000 3,426,000 3,286,000 3,377,000 3,034,000 2,532,000 3,185,000 3,053,000 2,748,000 2,833,000 2,821,000 3,028,000 2,767,000 4,643,000 4,330,000 4,538,000 4,156,000 4,421,000 3,238,250 4,451,000 4,444,000 4,058,000 3,973,000 4,110,000 3,850,000 3,485,000 2,613,250 3,549,000 3,584,000 3,320,000 3,501,000 3,281,000 3,414,000 3,357,000 3,195,000 2,994,000 3,153,000 3,051,000 2,943,000 3,369,000 3,028,000 2,776,000 1,048,250 1,498,000 1,444,000 1,251,000 969,500 1,275,000 1,418,000 1,185,000 
      income from fiduciary activities
    1,423,000 1,529,000 1,547,000 1,501,000 1,624,000 1,430,000 1,447,000 1,449,000 1,435,000 1,272,000 1,234,000 1,068,000 1,321,000 1,058,000 1,165,000 1,188,000 1,154,000 1,283,000 1,292,000 1,269,000 1,231,000 1,113,000 1,149,000 1,270,000 1,297,000 1,175,000 1,126,000 1,129,000 965,000 1,113,000 1,159,000 1,017,000 956,000 935,000 911,000 964,000 864,000 858,000 880,000 857,000 840,000 686,000 697,000 662,000 642,000 626,000 534,000 636,000 739,000 761,000 831,000 751,000 811,000 811,000 710,750 874,000 999,000 970,000 945,000 968,000 854,000 761,000 758,000 740,000 740,000 677,000 668,000 649,000 581,000 533,000 422,500 559,000 582,000 549,000 322,500 448,000 396,000 446,000 
      income from bank-owned life insurance
    399,000 2,816,000 1,879,000 2,260,000 497,000 1,966,000 1,897,000 1,234,000 1,522,000 2,015,000 379,000 1,185,000 1,291,000 2,187,000 167,000 -1,028,000 539,000 946,000 540,000 1,210,000 797,000 1,219,000 1,179,000 1,424,000 -19,000 594,000 645,000 914,000 952,000 243,000 1,055,000 501,000 318,000 614,000 1,074,000 583,000 1,117,000 273,000 555,000 1,232,000 625,000 317,000 564,000 741,000 942,000 591,000 759,000 866,000 980,000 1,190,000 673,000 1,062,000 1,890,000 1,184,000 1,045,750 1,599,000 1,514,000 1,070,000 888,000 1,861,000 1,183,000 1,031,000 1,195,000 1,085,000 785,000 924,000             
      other
    1,015,000 677,000 351,000 427,000 465,000 522,000 454,000 394,000 310,000 5,552,000 408,000 361,000 775,000 545,000 373,000 696,000 337,000 619,000 415,000 406,000 445,000 699,000 318,000 269,000 298,000 405,000 343,000 322,000 2,879,000 396,000 802,000 449,000 345,000 552,000 304,000 322,000 846,000 894,000 688,000 776,000 549,000 -497,000 914,000 1,906,000 1,653,000 1,925,000 870,750 1,380,000 790,000 1,313,000 325,000 400,000 1,503,000 1,031,000 1,547,250 1,982,000 1,917,000 2,290,000 409,000 379,000 600,000 455,000 425,000 715,000 1,034,000 1,021,000 -878,000 1,511,000 1,740,000 1,682,000 482,000 893,000 540,000 495,000 569,500 790,000 689,000 799,000 
      total other operating income
    11,574,000 14,201,000 13,507,000 13,013,000 11,096,000 2,624,000 12,734,000 12,121,000 11,244,000 15,172,000 10,047,000 10,435,000 11,009,000 11,601,000 9,629,000 17,138,000 9,551,000 11,566,000 10,253,000 10,530,000 10,711,000 14,057,000 11,563,000 10,692,000 8,886,000 9,768,000 10,266,000 10,094,000 11,673,000 9,400,000 10,820,000 9,630,000 8,954,000 9,043,000 9,569,000 7,870,000 10,014,000 9,484,000 10,975,000 11,692,000 10,165,000 17,812,000 12,472,000 15,929,000 13,614,000 13,232,000 8,736,500 11,509,000 10,937,000 12,500,000 19,885,000 11,650,000 12,737,000 12,764,000 11,430,500 15,439,000  15,684,000 11,710,000 11,752,000 11,538,000 11,152,000 9,487,000 10,545,000 10,960,000 12,164,000 11,473,000 11,474,000 8,804,000 9,251,000 3,237,500 4,944,000 4,095,000 3,911,000 2,814,500 3,926,000 3,667,000 3,665,000 
      other operating expense:
                                                                                  
      salaries and employee benefits
    23,085,000 24,490,000 24,749,000 22,696,000 21,819,000 21,661,000 22,299,000 21,246,000 20,735,000 20,164,000 19,015,000 20,848,000 22,023,000 22,692,000 22,778,000 22,369,000 20,942,000 23,030,000 23,566,000 23,790,000 19,827,000 23,403,000 20,729,000 20,622,000 20,347,000 21,207,000 20,631,000 20,563,000 19,889,000 19,053,000 19,011,000 18,783,000 18,505,000 18,759,000 18,157,000 17,983,000 17,387,000 21,254,000 17,459,000 17,850,000 16,937,000 18,242,000 18,535,000 17,256,000 17,629,000 16,626,000 11,582,750 15,856,000 15,442,000 15,033,000 12,999,000 14,370,000 14,408,000 14,836,000 12,631,500 16,582,000 17,684,000 16,260,000 17,558,000 16,240,000 16,888,000 16,406,000 19,083,000 17,451,000 17,615,000 19,062,000 16,917,000 17,594,000 14,243,000 16,209,000 6,714,750 11,288,000 7,365,000 8,206,000 5,473,250 7,613,000 7,204,000 7,076,000 
      net occupancy
    4,322,000 4,432,000 4,598,000 4,253,000 4,392,000 4,192,000 4,612,000 4,597,000 4,600,000 4,676,000 4,725,000 4,310,000 4,474,000 3,998,000 4,743,000 4,448,000 3,774,000 4,129,000 4,185,000 4,055,000 3,764,000 4,011,000 3,834,000 3,645,000 3,672,000 3,619,000 3,697,000 3,525,000 3,458,000 3,649,000 3,488,000 3,360,000 3,266,000 3,418,000 3,404,000 3,335,000 3,414,000 3,606,000 3,588,000 3,557,000 3,314,000 3,622,000 3,227,000 3,629,000 3,264,000 3,266,000 2,558,500 3,466,000 3,410,000 3,358,000 3,847,000 3,196,000 3,310,000 3,297,000 2,410,000 3,260,000 3,101,000 3,279,000 3,261,000 2,624,000 2,593,000 2,504,000 2,244,000 2,399,000 2,301,000 2,274,000 2,106,000 2,516,000 2,289,000 2,755,000 848,750 1,292,000 1,009,000 1,094,000 791,250 1,100,000 1,032,000 1,033,000 
      computer software
    5,045,000 5,442,000 5,151,000 5,320,000 4,714,000 4,757,000 4,590,000 4,381,000 4,287,000 4,026,000 4,473,000 4,621,000 4,606,000 2,711,000 4,138,000 3,624,000 3,082,000                                                 593,000             
      legal and professional services
    2,384,000 2,878,000 2,669,000 2,873,000 2,798,000 2,504,000 2,460,000 2,506,000 2,320,000 2,245,000 2,359,000 2,469,000 2,886,000 2,677,000 2,573,000 2,916,000 2,626,000 2,928,000 2,575,000 2,572,000 2,377,000 2,507,000 2,262,000 2,238,000 2,028,000 2,123,000 1,933,000 1,728,000 1,570,000 2,212,000 1,528,000 1,769,000 1,821,000 2,091,000 1,854,000 1,987,000 1,792,000 1,821,000 1,699,000 1,723,000 1,613,000 1,945,000 2,310,000 2,772,000 3,806,000 4,057,000 2,224,500 2,846,000 3,592,000 2,460,000 3,422,000 3,267,000 5,416,000 5,650,000 2,129,750 2,957,000 2,846,000 2,716,000 3,209,000 2,223,000 2,110,000 2,327,000 2,401,000 1,985,000 2,323,000 1,866,000 2,054,000 1,600,000  2,636,000         
      equipment
    807,000 825,000 867,000 950,000 1,082,000 904,000 972,000 995,000 1,010,000 968,000 1,112,000 932,000 946,000 996,000 1,085,000 1,075,000 1,082,000 1,207,000 1,089,000 1,048,000 1,000,000 1,157,000 1,234,000 1,043,000 1,097,000 1,142,000 1,067,000 1,138,000 1,006,000 1,079,000 1,048,000 1,044,000 1,068,000 1,007,000 969,000 967,000 842,000 967,000 852,000 769,000 811,000 878,000 958,000 1,030,000 1,021,000 957,000 908,000 1,348,000 1,154,000 1,130,000 1,222,000 1,333,000 1,305,000 1,477,000 1,142,750 1,497,000 1,562,000 1,512,000 1,420,000 1,255,000 1,325,000 1,230,000 1,240,000 1,171,000 1,280,000 1,173,000 1,152,000 1,196,000 1,328,000 1,197,000 505,000 821,000 631,000 568,000 464,250 561,000 672,000 624,000 
      advertising
    997,000 943,000 730,000 832,000 887,000 911,000 889,000 901,000 914,000 1,045,000 968,000 942,000 933,000 862,500 1,150,000 1,150,000 1,150,000                                                 746,000             
      communication
    823,000 495,000 791,000 901,000 1,033,000 943,000 740,000 657,000 837,000 632,000 809,000 791,000 778,000 565,500 712,000 744,000 806,000                                                 1,168,000             
      total other operating expense
    43,666,000 45,680,000 47,009,000 43,946,000 42,072,000 44,177,000 46,687,000 41,151,000 40,576,000 42,522,000 39,611,000 39,903,000 42,107,000 40,434,000 41,998,000 45,349,000 38,205,000 42,422,000 41,345,000 41,433,000 37,846,000 45,092,000 36,972,000 36,427,000 36,240,000 36,242,000 34,934,000 36,107,000 34,348,000 33,301,000 34,139,000 33,724,000 33,518,000 34,511,000 33,511,000 32,335,000 31,460,000 33,187,000 33,286,000 34,215,000 32,875,000 35,000,000 32,195,000 39,750,000 39,691,000 35,246,000 31,738,500 48,828,000 40,489,000 37,637,000 48,583,000 31,670,000 37,626,000 149,215,000 43,252,250 89,493,000 45,818,000 37,698,000 37,465,000 31,553,000 31,331,000 30,476,000 35,710,000 31,216,000 31,458,000 33,779,000 32,808,000 32,341,000 28,714,000 30,909,000 12,676,250 22,059,000 14,118,000 14,528,000 10,255,500 14,267,000 13,700,000 13,055,000 
      income before income taxes
    26,913,000 28,212,000 23,642,000 23,876,000 22,551,000 13,403,000 17,065,000 20,652,000 16,919,000 19,139,000 17,490,000 18,947,000 21,246,000 26,881,000 22,634,000 23,778,000 25,476,000 29,932,000 27,629,000 24,601,000 23,490,000 15,943,000 9,059,000 12,884,000 11,147,000 19,362,000 19,449,000 17,961,000 21,155,000 22,164,000 20,065,000 18,046,000 17,969,000 17,542,000 18,179,000 19,446,000 19,889,000 18,646,000 17,858,000 18,468,000 17,248,000 16,212,000 17,507,000 10,721,000 10,812,000 13,478,000 12,095,000 11,626,000 8,211,000 4,639,000 -2,085,000 -72,544,000 -16,105,000 -160,219,000   -59,483,000 -2,291,000 1,929,000 11,829,000 32,090,000 31,763,000 27,172,000 32,124,000 31,144,000 30,052,000 29,934,000 27,707,000 27,600,000 23,745,000 8,749,000 10,918,000 12,294,000 11,784,000 9,384,750 12,465,000 12,058,000 13,016,000 
      income tax expense
    6,188,000 5,337,000 5,068,000 5,605,000 4,791,000 2,058,000 3,760,000 4,835,000 3,974,000 4,273,000 4,349,000 4,472,000 5,059,000 6,700,000 5,919,000 6,184,000 6,038,000 7,605,000 6,814,000 5,887,000 5,452,000 3,772,000 2,200,000 2,967,000 2,821,000 5,165,000 4,895,000 4,427,000 5,118,000 6,372,000 4,872,000 3,822,000 3,692,000 13,254,000 6,367,000 7,421,000 6,810,000 6,438,000 6,392,000 6,331,000 6,067,000 1,945,000                                     
      net income
    20,725,000 22,875,000 18,574,000 18,271,000 17,760,000 11,345,000 13,305,000 15,817,000 12,945,000 14,866,000 13,141,000 14,475,000 16,187,000 20,181,000 16,715,000 17,594,000 19,438,000 22,327,000 20,815,000 18,714,000 18,038,000 12,171,000 6,859,000 9,917,000 8,326,000 14,197,000 14,554,000 13,534,000 16,037,000 15,792,000 15,193,000 14,224,000 14,277,000 4,288,000 11,812,000 12,025,000 13,079,000 12,208,000 11,466,000 12,137,000 11,181,000 14,267,000 137,309,000 10,721,000 10,812,000 13,478,000 12,095,000 11,626,000 8,211,000 4,639,000 -2,085,000 -72,544,000 -16,105,000 -160,219,000 -98,793,000 -183,141,000 -34,442,000 2,629,000 3,041,000 9,107,000 21,016,000 20,135,000 18,800,000 20,603,000 20,438,000 19,339,000 19,355,000 17,997,000 17,902,000 17,205,000 6,065,500 7,684,000 8,668,000 7,910,000 6,210,750 8,283,000 7,984,000 8,576,000 
      yoy
    16.69% 101.63% 39.60% 15.51% 37.20% -23.68% 1.25% 9.27% -20.03% -26.34% -21.38% -17.73% -16.72% -9.61% -19.70% -5.98% 7.76% 83.44% 203.47% 88.71% 116.65% -14.27% -52.87% -26.73% -48.08% -10.10% -4.21% -4.85% 12.33% 268.28% 28.62% 18.29% 9.16% -64.88% 3.02% -0.92% 16.98% -14.43% -91.65% 13.21% 3.41% 5.85% 1035.25% -7.78% 31.68% 190.54% -680.10% -116.03% -150.98% -102.90% -97.89% -60.39% -53.24% -6194.29% -3348.70% -2110.99% -263.88% -86.94% -83.82% -55.80% 2.83% 4.12% -2.87% 14.48% 14.17% 12.40% 219.10% 134.21% 106.53% 117.51% -2.34% -7.23% 8.57% -7.77%     
      qoq
    -9.40% 23.16% 1.66% 2.88% 56.54% -14.73% -15.88% 22.19% -12.92% 13.13% -9.22% -10.58% -19.79% 20.74% -5.00% -9.49% -12.94% 7.26% 11.23% 3.75% 48.20% 77.45% -30.84% 19.11% -41.35% -2.45% 7.54% -15.61% 1.55% 3.94% 6.81% -0.37% 232.95% -63.70% -1.77% -8.06% 7.13% 6.47% -5.53% 8.55% -21.63% -89.61% 1180.75% -0.84% -19.78% 11.43% 4.03% 41.59% 77.00% -322.49% -97.13% 350.44% -89.95% 62.18% -46.06% 431.74% -1410.08% -13.55% -66.61% -56.67% 4.38% 7.10% -8.75% 0.81% 5.68% -0.08% 7.55% 0.53% 4.05% 183.65% -21.06% -11.35% 9.58% 27.36% -25.02% 3.74% -6.90%  
      per common share data:
                                                                                  
      basic earnings per share
    0.79 0.86 0.69 0.68 0.66 0.42 0.49 0.58 0.48 0.55 0.49 0.54                             0.36 0.34 3.28 0.26 0.26 0.32 0.17 0.28 0.2 4.59        0.03 0.11 0.3 0.69 0.66 0.62 0.67 0.67 0.64 0.64 0.59 0.59 0.6 0.36 0.42 0.54 0.49 0.388 0.52 0.5 0.54 
      diluted earnings per share
    0.78 0.85 0.69 0.67 0.65 0.42 0.49 0.58 0.48 0.55 0.49 0.53                             0.35 0.34 3.25 0.26 0.26 0.32 0.15 0.28 0.2 4.58        0.03 0.11 0.3 0.68 0.65 0.61 0.67 0.66 0.63 0.63 0.58 0.58 0.59 0.355 0.41 0.53 0.48 0.38 0.51 0.49 0.52 
      basic weighted-average shares outstanding
    26,277,749  26,968,163 26,988,169 27,087,154  27,064,035 27,053,549 27,046,525  27,042,762 27,024,043 26,999,138,000  27,356,614,000 27,516,284,000 27,591,390,000                                               30,532 30,466 30,441  30,401 30,364 28,628  18,195 16,098 16,080  16,034 16,018 15,997 
      diluted weighted-average shares outstanding
    26,414,880  27,083,280 27,069,677 27,213,406  27,194,625 27,116,349 27,099,101  27,079,484 27,071,478 27,122,012,000  27,501,212,000 27,676,619,000 27,874,924,000                              36,342        29,170         30,838 30,783 30,658  30,836 30,843 29,198  18,528 16,391 16,411  16,381 16,399 16,408 
      interest income:
                                                                                  
      interest and fees on loans
     49,252,250 67,222,000 65,668,000 64,119,000 65,482,000 65,469,000 64,422,000 62,819,000 62,429,000 62,162,000 60,455,000 58,269,000 56,682,000 51,686,000 46,963,000 44,949,000 47,576,000 51,104,000 49,024,000 46,074,000 48,259,000 45,751,000                                       76,166,000 74,643,000 72,444,000 67,606,000  61,503,000 56,366,000 54,138,000 50,834,000 17,754,000 28,591,000  21,291,000 16,864,500 22,905,000 22,089,000 22,464,000 
      interest and dividends on investment securities:
                                                                                  
      interest on deposits in other financial institutions
     1,398,750 1,857,000 1,484,000 2,254,000 3,004,000 2,775,000 2,203,000 3,611,000 3,597,000 2,412,000 877,000                                                                   
      dividend income on fhlb and frb stock
     276,750 395,000 388,000 324,000                                                                          
      interest on deposits:
                                                                                  
      interest on short-term borrowings
           1,000    378,000 761,000 393,000 660,000 2,000     2,000 65,000 71,000 74,000 508,000 1,139,000 1,130,000 1,123,000 893,000 999,000 146,000 48,000 43,000 97,000 9,000 46,000 31,000 191,000 160,000 177,000 50,000      51,000   204,000 295,000 387,000 306,000 189,000 104,000 144,000 34,000 238,000 1,583,000 302,000 303,000 505,000 162,000 1,221,000 583,000 231,000 699,000 319,000 313,000 527,000 60,250 138,000 67,000 36,000 8,500 20,000 5,000 9,000 
      interest on long-term debt
     1,449,250 1,860,000 1,851,000 2,086,000 2,231,000 2,287,000 2,278,000 2,283,000 2,304,000 2,292,000 2,199,000 1,838,000 1,475,000 1,281,000 1,133,000 1,041,000 1,023,000 1,022,000 1,025,000 1,027,000 1,130,000 746,000 812,000 914,000 976,000 1,013,000 1,031,000 1,060,000 1,335,000 1,147,000 1,103,000 971,000 916,000 894,000 856,000 813,000 799,000 755,000 735,000 716,000 793,000 869,000 930,000 917,000 943,000 1,947,250 2,430,000 2,642,000 2,717,000 4,855,000 5,112,000 5,053,000 5,115,000 4,740,000 5,982,000 6,359,000 6,619,000 7,965,000 10,900,000 10,616,000 9,968,000 9,503,000 8,949,000 8,680,000 8,534,000 7,832,000 6,998,000 6,083,000 5,420,000 1,856,500 3,204,000 2,272,000 1,950,000 995,250 1,325,000 1,408,000 1,248,000 
      net loss on sales of investment securities
     -7,500 -30,000                                                                            
      dividend income on fhlb stock
         125,000 127,000 151,000 106,000 109,000 113,000 120,000                                                                   
      dividends
                 5,250   21,000 13,500 18,000 18,000 18,000 12,750 17,000 17,000 17,000 11,500 14,000 14,000 18,000 11,000 26,000 3,000 15,000 9,000 12,000 12,000 12,000 12,000 10,000 10,000 10,000 6,000 5,000 4,000 4,000 3,000 2,000 5,000  3,000 3,000 3,000 2,000 3,000 1,750 2,000 2,000 3,000 7,000 83,000 60,000 33,000 274,000 153,000 8,000 103,000 50,000 93,000 116,000 291,000 164,250 249,000 191,000 217,000 191,000 253,000 251,000 260,000 
      provision (credit) for credit losses
             4,653,000 4,874,000 4,319,000 1,852,000 -461,000 362,000 989,000                                                               
      net interest income after provision (credit) for credit losses
             36,953,250 47,054,000 48,415,000 52,344,000 40,280,500 55,003,000 51,989,000                                                               
      net gains on sales of investment securities
             -1,939,000 -135,000                                                                    
      net gain on sales of investment securities
                 2,126,500  8,506,000                                                               
      taxable interest
                7,336,000 5,234,250 6,933,000 7,200,000 7,134,000 3,940,750 6,210,000 4,447,000 5,106,000 4,575,000 5,233,000 6,310,000 6,757,000 5,742,000 7,178,000 7,530,000 8,260,000 6,512,500 8,490,000 8,717,000 8,843,000 6,289,000 8,540,000 8,481,000 8,135,000 7,203,000 7,296,000 7,953,000 8,396,000 7,373,000 7,031,000 6,641,000 7,589,000 7,614,000 5,095,000 7,918,000 7,241,000 5,221,000 4,060,000 3,885,000 3,653,000 8,101,000 6,888,750 9,768,000 9,058,000 8,729,000 8,696,000 8,386,000 8,866,000 8,712,000 8,779,000 8,486,000 8,947,000 8,563,000 9,681,000 8,980,000 7,948,000 7,449,000 4,105,500 5,795,000 5,546,000 5,081,000 3,040,000 3,728,000 4,187,000 4,245,000 
      tax-exempt interest
                790,000 607,000 805,000 642,000 651,000 332,500 470,000 346,000 514,000 472,000 621,000 599,000 668,000 597,000 708,000 814,000 866,000 696,500 920,000 933,000 933,000 729,750 966,000 974,000 979,000 989,000 995,000 995,000 996,000 1,040,000 1,027,000 704,000 446,000 197,000 137,250 186,000 179,000 184,000 179,000 184,000 190,000 515,000 813,500 937,000 1,146,000 1,171,000 1,351,000 1,343,000 1,365,000 1,363,000 1,258,000 1,227,000 1,277,000 1,318,000 1,349,000 1,297,000 1,630,000 1,005,000 769,250 1,068,000 1,018,000 991,000 707,250 1,012,000 926,000 891,000 
      interest on deposits in other banks
                277,000 92,500 107,000 191,000 72,000 44,000 105,000 61,000 10,000 10,500 3,000 3,000 36,000 36,750 33,000 46,000 68,000 77,500 109,000 117,000 84,000 74,500 163,000 61,000 74,000 22,000 17,000 11,000 17,000 68,000 89,000 84,000 47,000 81,000 237,000 259,000 300,000 389,000 555,000 510,000 467,000 330,000 29,250 106,000 11,000  4,000 82,000 39,000 35,000 244,000 79,000 54,000 173,000 107,000 37,000 58,000 147,000 19,500 45,000 10,000 23,000 18,250 8,000 55,000 10,000 
      dividends on federal home loan bank stock
                136,000 66,250 138,000 68,000 59,000 46,000 62,000 63,000 59,000 91,500 128,000 106,000 132,000 127,000 186,000 161,000 161,000 36,250 60,000 40,000 45,000 25,000 23,000 21,000 56,000 56,000 63,000 23,000 37,000                  171,000 73,000 24,000 98,000                 
      basic earnings per common share
                600 490 610 640 700 512.5 740 660 640 222.5 240 350 300 385 510 470 560 370 520 480 480 302.5 390 390 430 280 370 390                                       
      diluted earnings per common share
                600 485 610 640 700 507.5 740 660 640 222.5 240 350 290 382.5 510 470 550 367.5 520 480 480 300 390 390 420 277.5 370 390                                       
      cash dividends declared
                260 -778.96 260 260 260 -709.04 240 240 230 -689.08 230 230 230 -669.1 230 230 210 -609.18 210 210 190 -519.3 180 180 160 -439.4 160 140 0.14                  0.1 0.25 0.24 0.24 0.23 0.23 0.21 0.21 0.19 0.19 0.19 0.16 0.12 0.16 0.16 0.16 0.12 0.16 0.16 0.16 
      (credit) benefit from credit losses
                    -3,195,000 -7,692,000 -2,635,000 -3,443,000                                                           
      net interest income after benefit from credit losses
                    54,130,000 60,788,000 58,721,000 55,504,000 50,625,000 46,978,000 34,468,000 38,619,000 38,501,000                                                      
      investment securities gains
                     37,500 100,000 50,000  -88,000 -352,000   9,000 36,000       -410,000  -1,640,000        789,000   65,250  261,000     831,000 -79,500 -169,000 1,000  12,000        127,000   1,509,000 43,500 174,000   42,000 164,000 4,000  
      communication expense
                     922,000 824,000 756,000 769,000 758,000 856,000 774,000 837,000 906,000 1,008,000 903,000 734,000 863,000 903,000 746,000 898,000 924,000 944,000 891,000 900,000 868,000 948,000 919,000 959,000 870,000 950,000 872,000 816,000 854,000 657,750 828,000 922,000 881,000 886,000 1,041,000 846,000 1,212,000 800,250 1,087,000 975,000 1,139,000 1,155,000 1,032,000 938,000 1,148,000 1,080,000 1,186,000 1,208,000  1,074,000 947,000 1,069,000 1,084,000         
      computer software expense
                     3,125,000 2,998,000 3,398,000 3,783,000 3,625,000 3,114,000 3,035,000 2,943,000 2,942,000 2,713,000 2,560,000 2,597,000 2,597,000 2,672,000 2,305,000 2,267,000 2,404,000 2,346,000 2,190,000 2,252,000 2,332,000 2,217,000 2,222,000 2,704,000 1,193,000 933,000 959,000 958,000 935,000 676,500 894,000 929,000 883,000 993,000 856,000 873,000 903,000 642,500 818,000 840,000 912,000 865,000 869,000 893,000 799,000 862,000 716,000 647,000  577,000 553,000 840,000 828,000         
      advertising expense
                     1,179,000 1,329,000 1,329,000 1,658,000 756,000 1,020,000 923,000 1,092,000 527,000 711,000 712,000 711,000 834,000 612,000 617,000 612,000 1,000,000 626,000 390,000 392,000 562,000 772,000 433,000 634,000 728,000 812,000 906,000 857,000 869,000 627,000 842,000 830,000 836,000 354,000 574,000 764,000 839,000 604,000 948,000 713,000 755,000 1,016,000 661,000 635,000 623,000 780,000 515,000 528,000  427,000 662,000 493,000 765,000         
      weighted-average common shares outstanding used in computation:
                                                                                  
      basic shares
                     7,020,658,000 27,967,089,000 28,173,710,000 28,108,648,000 7,018,921,000 28,060,020,000 28,040,802,000 28,126,400,000 7,143,842,250 28,424,898,000 28,546,564,000 28,758,310,000 7,384,134,000 29,297,465,000 29,510,175,000 29,807,572,000 7,631,565,000 30,300,195,000 30,568,247,000 30,714,895,000 7,772,182,250 30,943,756,000 31,060,593,000 31,263,433 41,957 41,816 41,764 41,717 41,631 8,489.25 41,625 40,700 19,301    30,270 7,200.25 29,030  28,681 28,665 30,192 30,555 30,699                 
      diluted shares
                     7,079,143,500 28,175,953,000 28,456,624,000 28,313,014,000 7,043,038,250 28,111,664,000 28,095,230,000 28,277,753,000 7,190,514,250 28,602,338,000 28,729,510,000 28,979,855,000 7,435,809,500 29,479,812,000 29,714,942,000 30,041,351,000 7,689,747,250 30,514,459,000 30,803,725,000 31,001,238,000 7,819,350,500 31,142,128,000 31,262,525,000 31,506,307 42,320 42,297 42,016 41,959 41,839 8,568 41,672 41,078 19,321    30,270 7,200.25 29,030  28,692 28,699 30,378 30,798 30,988                 
      benefit from credit losses
                        -821,000 8,655,250 14,652,000 10,640,000 9,329,000                                                      
      equity in earnings of unconsolidated subsidiaries
                         181,000 104,000 104,000 26,000 92,000 86,000 71,000 8,000 82,000 71,000 37,000 43,000 214,000 176,000 151,000 61,000 267,000 182,000 184,000 90,000 192,000 28,000 171,000 169,000 46,000 75,250 136,000 38,000 127,000 140,000 197,000 102,000 29,000 153,250 134,000 205,000 274,000 103,000 169,000 167,000 257,000 155,000 90,000 147,000 184,000 226,000 263,000 187,000 91,000         
      net gain on sales of foreclosed assets
                         -1,500    -162,000 17,000        19,000 84,000 102,000 1,000 57,000 241,000 308,000 7,694,000                                     
      foreclosed asset expense
                         -2,000 6,000  67,000 28,000 15,000 49,000 159,000 37,000 212,000 31,000 294,000 28,000 24,000 63,000 36,000 16,000 72,000 49,000 15,000 705,000 -258,000 2,863,000 2,602,000 -107,000 683,000 1,281,000 -791,000 2,242,000 4,149,000 -1,017,000 403,000 5,532,000 1,988,000 5,523,000 2,294,000 135,000 83,000                    
      interest and fees on loans and leases
                           45,915,000 46,204,000 47,488,000 45,861,000 45,540,000 43,768,000 42,836,000 40,531,000 38,699,000 37,390,000 37,447,000 36,289,000 35,531,000 34,957,000 33,973,000 33,384,000 32,878,000 31,793,000 26,505,000 24,443,000 24,241,000 24,393,000 25,008,000 20,248,000 25,962,000 26,464,000 28,566,000 31,558,000 33,456,000 35,788,000 37,312,000 39,829,250 48,594,000 54,218,000 56,505,000 64,224,000 78,325,000 77,070,000     64,553,000       21,134,000      
      net income on sales of foreclosed assets
                           -6,000                                                       
      provision (credit) for loan and lease losses
                             2,098,000 1,532,000 1,404,000 1,283,000 -1,386,000 -59,000 532,000 -211,000 -186,000 -126,000 -2,282,000 -80,000 -2,645,000 -743,000 -1,382,000 -747,000 -227,000 -6,561,000 -4,982,000  -4,990,000 -11,215,000 -19,116,000 -8,784,000 -1,575,000                             
      net interest income after provision (credit) for loan and lease losses
                             32,980,250 44,117,000 43,974,000 43,830,000 32,014,250 43,384,000 42,140,000                                               
      fees on foreign exchange
                             216,000 170,000 218,000 151,000 197,000 220,000 277,000 211,000 135,000 101,000 130,000 163,000 116,000 129,000 126,000 148,000 128,000 71,000 165,000 192,000 90,000 121,000 198,000 149,000 137,000 157,000 171,000 175,000 156,000 107,750 170,000 145,000 116,000 142,000 149,000 171,000 221,000 164,000 207,000 212,000 182,000 193,000 188,000 188,000 218,000 120,750 149,000 161,000 173,000 103,750 152,000 115,000 148,000 
      loan placement fees
                             216,000 230,000 107,000 149,000 215,000 115,000 220,000 197,000 170,000 86,000 146,000 134,000 175,000 140,000 133,000 46,000 178,000 149,000 114,000 193,000 240,000 87,000 164,000 82,000 102,000 84,000 130,000 92,000 85,000 187,000 188,000 312,000 248,000 201,000 248,000 283,000 259,000 511,000 464,000               
      amortization of core deposit premium
                                  669,000 668,000 669,000 668,000 669,000 669,000                        684,000 685,000 685,000 975,000 974,000 974,000 974,000 1,655,000 1,656,000 1,655,000 1,300,000 161,250 645,000       
      net interest income after credit for loan and lease losses
                                    42,533,000 31,841,750 42,121,000 43,911,000 41,335,000 30,279,500 40,169,000 40,991,000 39,958,000                                      
      shares used in computation:
                                                                                  
      amortization of other intangible assets
                                        668,000 1,572,750 1,690,000 2,423,000 2,178,000 2,109,000 2,248,000   1,761,000 1,221,250 1,709,000 1,629,000 1,547,000 1,301,000 2,215,000 1,581,000 1,408,000     1,237,000                    
      loan servicing fees
                                         1,020,250 1,357,000 1,362,000 1,362,000                                      
      net gain on sales of residential mortgage loans
                                         1,380,750 2,212,000                                        
      net gain on sales of residential loans
                                           1,845,000 1,466,000 2,888,000 4,128,000 4,713,000 3,394,000 2,977,000 1,095,000 1,177,000 1,005,000 2,198,000 3,155,000 2,036,000 1,332,000 1,945,000 2,902,000 3,060,000 4,539,000 4,009,000 1,807,000                    
      net interest income after provision for loan and lease losses
                                             33,400,000 37,230,000 34,542,000 36,889,000 35,492,000 42,027,000 48,945,000 37,763,000 29,776,000 26,613,000 -52,524,000 8,784,000 -23,768,000 -66,694,000 -99,044,000                       
      write down of assets
                                               827,000  1,759,000 1,156,000 -31,000 3,090,000 1,565,000 520,000  166,000 774,000 334,750  904,000 435,000 100,000                    
      see accompanying notes to consolidated financial statements.
                                                                                  
      income tax benefit
                                              -119,802,000              -25,041,000 -4,920,000 -1,112,000                    
      amortization and impairment of other intangible assets
                                               2,698,000 3,031,000          1,138,250 1,582,000 1,550,000 1,421,000                     
      loss on early extinguishment of debt
                                                  1,558,500 6,234,000                               
      preferred stock dividends, accretion of discount and conversion of preferred stock to common stock
                                                     -83,897,000                             
      net income available to common shareholders
                                               10,721,000 10,812,000 13,478,000 27,093,250 11,626,000 8,211,000 88,536,000    -162,293,000 -55,212,500 -185,171,000  762,000                     
      goodwill impairment
                                                         102,689,000  50,000,000                       
      preferred stock dividends, accretion of discount and
                                                                                  
      conversion of preferred stock to common stock
                                                  -20,974,250                                
      interest on federal funds sold and securities purchased under agreements to resell
                                                          2,250 3,000 6,000  33,000  109,000 10,000 58,000 31,000 2,000 52,000 41,500 87,000 21,000 58,000 5,500 13,000  9,000 7,500 3,000 24,000 3,000 
      provision for loan and lease losses
                                                      406,000 79,893,000 20,412,000 58,837,000 105,231,000 142,496,000 74,324,000                      
      other than temporary impairment on securities (net of 7,323 recognized
                                                                                  
      in other comprehensive loss for the nine months ended 2009)
                                                                                  
      preferred stock dividends and accretion
                                                      2,143,000 2,119,000 2,096,000 2,074,000 1,474,000 2,030,000 1,999,000 1,867,000                     
      net loss available to common shareholders
                                                      -4,228,000 -74,663,000 -18,201,000    -36,441,000                      
      basic and diluted loss per share
                                                      -162.71 -2.46 -0.6    -1.27                      
      basic and diluted shares
                                                      7,573.75 30,309 30,307    28,687                      
      other than temporary impairment on securities
                                                            -2,565,000                      
      basic and diluted earnings per share
                                                         -5.36 -1.918 -6.38                       
      loss on sales of commercial real estate loans
                                                              203,000                    
      income (loss) before income taxes
                                                          -98,870,000 -173,098,000                       
      income taxes
                                                          -77,000 10,043,000    2,722,000 11,074,000 11,628,000 8,372,000 11,521,000 10,706,000 10,713,000 10,579,000 9,710,000 9,698,000 6,540,000 2,683,500 3,234,000 3,626,000 3,874,000 3,174,000 4,182,000 4,074,000 4,440,000 
      net interest loss after provision for loan and lease losses
                                                            -28,264,000                      
      other operating income: - sum
                                                            14,599,000                      
      benefit from loan and lease losses
                                                             26,750,000 22,900,000 21,200,000 1,000,000 2,600,000    525,000    917,000         
      net interest income after benefit from loan and lease losses
                                                             19,723,000 27,684,000 31,630,000 51,883,000 51,087,000    51,667,000    45,403,000   22,317,000      
      investment securities losses
                                                             -150,000                     
      per share data:
                                                                                  
      interest on federal funds sold and securities
                                                                                  
      purchased under agreements to resell
                                                               125,000                   
      gains on sales of loans
                                                               1,116,000 1,403,000 1,367,000 730,000 680,000 1,451,000 2,589,000 2,488,000 2,134,000           
      amortization of mortgage servicing rights
                                                               478,000 500,000 510,000                 
      interest on deposits
                                                                  12,356,000 19,155,000 16,464,000 13,805,000 11,895,000 9,969,000 9,005,000 7,517,000 2,430,250 3,853,000 2,943,000 2,925,000 2,824,000 3,258,000 3,828,000 4,210,000 
      benefit from loan losses
                                                                  337,500 300,000 525,000  729,250 1,000,000 1,000,000  283,250 533,000 300,000 300,000 175,000 500,000 200,000  
      net interest income after benefit from loan losses
                                                                  39,026,000 52,795,000 51,642,000  35,371,750 48,574,000 47,510,000  18,187,750 28,033,000  22,401,000 16,825,750 22,806,000 22,091,000 22,406,000 
      gains on sale of loans
                                                                        687,000          
      legal and profesisonal services
                                                                        1,724,000          
    Balance Sheets:
    Quarterly
    Annual
      Unit: USD2026-03-31 2025-12-31 2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-12-31 2016-09-30 2016-06-30 2016-03-31 2013-06-30 2013-03-31 2012-09-30 2012-06-30 2012-03-31 2011-12-31 2011-09-30 2011-06-30 2011-03-31 2010-12-31 2010-09-30 2010-06-30 2010-03-31 2009-12-31 2009-09-30 2009-06-30 2009-03-31 2008-03-31 2007-09-30 2007-06-30 2007-03-31 2006-12-31 2006-09-30 2006-06-30 2006-03-31 2005-12-31 2005-09-30 2005-06-30 2005-03-31 2004-12-31 2004-09-30 2004-06-30 2004-03-31 2003-12-31 2003-09-30 2003-03-31 
                                                                                   
        assets
                                                                                   
        cash and due from financial institutions
      88,880,000 88,200,000 102,859,000 110,935,000 106,670,000 77,774,000 100,064,000 103,829,000 98,410,000 116,181,000 108,818,000 129,071,000  97,150,000    81,506,000    97,546,000    78,418,000    80,569,000    75,318,000                                            
        interest-bearing deposits in other financial institutions
      317,716,000 290,453,000 207,034,000 206,035,000 170,226,000 303,167,000 226,505,000 195,062,000 214,472,000 406,256,000 329,913,000 181,913,000  14,894,000    247,401,000    6,521,000    24,554,000    21,617,000    6,975,000                                            
        investment securities:
                                                                                   
        debt securities available-for-sale, at fair value
      779,156,000 748,212,000 758,683,000 765,213,000 780,379,000 737,658,000    647,210,000                                                                    
        debt securities held-to-maturity, at amortized cost; fair value of: 486,018 as of march 31, 2026 and 495,845 as of december 31, 2025
      554,548,000                                                                             
        total investment securities
      1,333,704,000 1,310,603,000 1,329,569,000 1,345,689,000 1,370,067,000 1,334,588,000 1,329,570,000 1,292,586,000 1,285,781,000 1,279,548,000 1,265,306,000 1,314,017,000 1,345,784,000 1,336,677,000 1,349,508,000 1,450,738,000 1,528,989,000 1,631,699,000 1,537,043,000 1,408,918,000 1,217,776,000 1,183,960,000 1,167,523,000 1,169,803,000 1,185,025,000 1,128,110,000 1,187,933,000 1,255,777,000 1,320,360,000 1,354,812,000 1,386,739,000 1,438,969,000 1,503,923,000 1,496,644,000 1,547,777,000 1,520,483,000 1,514,315,000 1,461,515,000 1,488,797,000 1,494,823,000 1,540,773,000 1,765,842,000 1,696,428,000 1,663,279,000 1,633,011,000 1,646,656,000 1,493,925,000 1,468,220,000 1,401,958,000 1,078,124,000 705,345,000 605,504,000 430,781,000 448,798,000 924,359,000 978,696,000 1,056,779,000 940,738,000  849,105,000 860,580,000 867,471,000 898,358,000 899,173,000 894,323,000 911,740,000 925,285,000 949,360,000 1,097,580,000 918,171,000  904,264,000 658,439,000 649,367,000  537,144,000 528,300,000 
        loans held for sale
      2,536,000 1,084,000 1,557,000  2,788,000 5,662,000 1,609,000 3,950,000 755,000 1,778,000    1,105,000 1,701,000 535,000 4,677,000 3,531,000 5,290,000 5,361,000 5,234,000 16,687,000 23,962,000 10,443,000 3,910,000 9,083,000 7,016,000 6,848,000 3,539,000 6,647,000 4,460,000 9,096,000 7,492,000 16,336,000 10,828,000 13,288,000 9,905,000 31,881,000 12,755,000 9,921,000 11,270,000 14,674,000 17,293,000 24,080,000 30,831,000 20,459,000 50,290,000 43,839,000 22,290,000 54,093,000 69,748,000 54,842,000 72,726,000 57,659,000 83,830,000 60,027,000 84,748,000 63,056,000  31,388,000 45,539,000 41,608,000 26,669,000 21,742,000 24,763,000 34,362,000 60,538,000 53,970,000 22,400,000 32,273,000  11,256,000 1,382,000 2,337,000  8,179,000 3,626,000 
        loans
      5,320,349,000 5,289,096,000 5,367,202,000 5,289,809,000 5,334,547,000 5,332,852,000 5,342,609,000 5,383,644,000 5,401,417,000 5,438,982,000 5,508,710,000 5,520,683,000 5,557,397,000 5,555,466,000 5,422,212,000 5,301,633,000 5,174,837,000 5,101,649,000 5,045,797,000 5,077,318,000 5,137,849,000 4,964,113,000 5,030,626,000 5,003,438,000 4,511,998,000                                       3,765,081,000 3,689,287,000   3,366,620,000 3,205,124,000   3,061,867,000  1,459,442,000  1,425,858,000 1,339,338,000 
        allowance for credit losses
      -59,933,000 -59,621,000    -59,182,000    -63,934,000  -63,849,000 -63,099,000 -63,738,000 -64,382,000 -65,211,000 -64,754,000 -68,097,000 -74,587,000 -77,781,000 -81,553,000 -83,269,000 -80,542,000 -67,339,000 -59,645,000                                                     
        loans, net of allowance for credit losses
      5,260,416,000 5,229,475,000 5,306,809,000 5,230,198,000 5,274,078,000 5,273,670,000 5,280,962,000 5,321,419,000 5,337,885,000 5,375,048,000 5,444,193,000 5,456,834,000 5,494,298,000 5,491,728,000 5,357,830,000 5,236,422,000 5,110,083,000 5,033,552,000 4,971,210,000 4,999,537,000 5,056,296,000 4,880,844,000 4,950,084,000 4,936,099,000 4,452,353,000                                                     
        premises and equipment
      99,942,000 100,620,000 100,992,000 103,657,000 103,490,000 104,342,000 104,575,000 100,646,000 97,688,000 96,184,000 97,378,000 96,479,000 93,761,000 91,634,000 89,979,000 88,664,000 79,455,000 80,354,000 80,190,000 76,740,000 72,599,000 65,278,000 61,095,000 55,032,000 50,447,000 46,343,000 44,095,000 43,600,000 44,527,000 45,285,000 46,184,000 47,004,000 47,436,000 48,348,000 48,339,000 49,252,000 48,303,000 48,258,000 48,242,000 48,370,000 48,322,000 48,807,000 48,578,000 49,424,000 50,195,000 50,389,000 51,414,000 52,505,000 54,702,000 55,977,000 57,390,000 71,144,000 72,112,000 73,349,000 75,189,000 76,511,000 77,142,000 77,828,000  80,173,000 78,122,000 77,016,000 77,341,000 76,909,000 76,368,000 72,860,000 72,568,000 72,982,000 77,525,000 77,098,000  76,786,000 57,958,000 57,355,000  56,244,000 57,240,000 
        accrued interest receivable
      24,320,000 23,559,000 25,232,000 23,518,000 24,743,000 23,378,000 23,942,000 23,184,000 21,957,000 21,511,000 21,529,000 20,463,000 20,473,000 20,345,000 18,134,000 17,146,000 16,423,000 16,709,000 17,110,000 19,014,000 19,440,000 20,224,000 21,478,000 19,590,000 16,851,000 16,500,000 16,220,000 17,260,000 17,082,000 17,000,000 16,755,000 16,606,000 16,070,000 16,581,000 15,434,000 15,636,000 14,819,000 15,675,000 14,554,000 15,339,000 14,818,000 14,138,000 14,148,000 13,198,000 12,596,000 12,217,000 11,674,000 12,055,000 11,711,000 11,461,000 11,279,000 11,323,000 11,416,000 12,063,000 14,588,000 16,590,000 18,724,000 20,887,000  27,580,000 25,337,000 26,783,000 26,269,000 25,631,000 23,474,000 22,535,000 22,006,000 20,787,000 19,813,000 19,154,000  17,424,000 9,278,000 8,723,000  8,482,000 8,983,000 
        investment in unconsolidated entities
      59,548,000 61,349,000 52,987,000 49,370,000 50,885,000 52,417,000 54,836,000 40,155,000 40,780,000 41,546,000 42,523,000 45,218,000 45,953,000 46,641,000 36,769,000 37,341,000 31,092,000 29,679,000                                                            
        mortgage servicing rights
      8,520,000 8,672,000 8,459,000 8,436,000 8,418,000 8,473,000 8,513,000 8,636,000 8,599,000 8,696,000 8,797,000 8,843,000 8,943,000 9,074,000 9,216,000 9,369,000 9,480,000 9,738,000 9,976,000 10,500,000 11,094,000 11,865,000 12,429,000 12,771,000 13,345,000 14,718,000 15,058,000 15,266,000 15,347,000 15,596,000 15,634,000 15,756,000 15,821,000 15,843,000 16,093,000 15,932,000 15,847,000 15,779,000 15,638,000 15,778,000 16,800,000                   11,111,000 11,253,000 11,404,000 11,640,000 11,794,000 11,873,000 11,918,000 11,820,000           
        bank-owned life insurance
      181,298,000 180,717,000 179,743,000 177,639,000 176,846,000 176,216,000 175,914,000 173,716,000 172,228,000 170,706,000 168,543,000 168,136,000 168,244,000 167,967,000 167,761,000 167,202,000 167,407,000 169,148,000 167,961,000 167,289,000 167,110,000 163,161,000 161,743,000 161,758,000 159,637,000 159,656,000 158,939,000 158,294,000 158,392,000 157,440,000 157,085,000 156,945,000 156,611,000 156,293,000 155,928,000 156,053,000 155,019,000 155,593,000 155,233,000 154,678,000 154,592,000 148,292,000 147,975,000 146,680,000 145,940,000 145,060,000 144,474,000 143,845,000 142,980,000 142,000,000 142,296,000 141,587,000 140,526,000 140,841,000 139,811,000 138,757,000 137,946,000 136,437,000  130,089,000 104,597,000 103,420,000 102,394,000 101,101,000 100,021,000 99,241,000 68,325,000           
        federal reserve bank ("frb") and federal home loan bank of des moines ("fhlb") stock
      24,682,000 25,836,000                                                                            
        right-of-use lease assets
      24,320,000 24,822,000 25,570,000 30,693,000 29,829,000  32,192,000 32,081,000 32,079,000  32,294,000                                                                   
        other assets
      69,481,000 63,851,000 55,452,000 58,581,000 63,036,000 74,656,000 69,819,000 84,763,000 92,444,000 88,829,000 107,635,000 99,818,000 98,812,000 111,417,000 118,512,000 114,710,000 101,705,000 68,367,000 81,503,000 69,553,000 85,456,000 64,435,000 61,943,000 48,447,000 47,859,000 49,111,000 45,324,000 36,383,000 42,366,000 46,543,000 54,201,000 53,376,000 53,808,000 53,050,000 64,293,000 66,001,000 70,116,000 79,003,000 75,760,000 80,737,000 92,140,000 183,786,000 150,539,000 33,291,000 34,223,000 32,738,000 14,106,000 13,491,000 13,753,000 15,070,000 16,642,000 14,009,000 24,628,000 22,167,000 25,613,000 28,939,000 88,406,000 77,398,000  25,232,000 30,842,000 24,347,000 23,161,000 18,823,000 29,232,000 17,041,000 13,147,000 154,212,000 88,810,000 88,387,000  92,526,000 57,848,000 53,825,000  52,318,000 40,695,000 
        total assets
      7,495,363,000 7,409,241,000 7,421,478,000 7,369,567,000 7,405,239,000 7,472,096,000 7,415,430,000 7,386,952,000 7,409,999,000 7,642,796,000 7,637,924,000 7,567,592,000 7,521,247,000 7,432,763,000 7,337,631,000 7,299,178,000 7,298,819,000 7,419,089,000 7,298,231,000 7,178,481,000 6,979,265,000 6,594,583,000 6,648,142,000 6,632,972,000 6,108,548,000 6,012,672,000 5,976,716,000 5,920,006,000 5,841,352,000 5,807,026,000 5,728,640,000 5,681,519,000 5,651,287,000 5,623,708,000 5,569,230,000 5,533,135,000 5,443,181,000 5,384,236,000 5,319,947,000 5,282,967,000 5,242,202,000 4,706,756,000 4,581,077,000 4,309,618,000 4,227,070,000 4,158,288,000 4,132,865,000 4,119,158,000 4,131,733,000 4,013,398,000 3,938,051,000 4,173,241,000 4,279,343,000 4,434,177,000 4,869,522,000 5,171,510,000 5,525,287,000 5,431,559,000  5,647,624,000 5,563,598,000 5,508,840,000 5,487,192,000 5,378,890,000 5,290,812,000 5,249,157,000 5,239,139,000 5,041,562,000 4,918,781,000 4,781,023,000  4,612,463,000 2,498,829,000 2,284,325,000  2,131,766,000 2,033,442,000 
        liabilities and equity
                                                                                   
        deposits:
                                                                                   
        noninterest-bearing demand
      1,897,593,000 1,891,198,000 1,903,614,000 1,938,226,000 1,854,241,000 1,888,937,000 1,838,009,000 1,847,173,000 1,848,554,000 1,913,379,000 1,969,523,000 2,009,387,000 2,028,087,000 2,092,823,000 2,138,083,000 2,282,967,000 2,269,562,000 2,291,246,000 2,195,404,000 2,203,806,000 2,070,428,000 1,790,269,000 1,762,476,000 1,851,012,000 1,430,540,000 1,450,532,000 1,399,200,000 1,351,190,000 1,357,890,000 1,436,967,000 1,403,534,000 1,365,010,000 1,349,029,000 1,395,556,000 1,383,548,000 1,383,754,000 1,290,632,000 1,265,246,000 1,194,557,000 1,152,666,000 1,140,741,000 860,694,000 857,427,000 803,796,000 769,010,000 766,595,000 729,149,000 681,619,000 687,468,000 678,007,000 611,744,000 590,064,000 605,927,000 611,840,000 638,328,000 647,672,000 623,698,000 612,045,000  630,586,000 623,778,000 616,222,000 661,027,000 608,229,000 673,784,000 695,292,000 730,952,000           
        interest-bearing demand
      1,428,323,000 1,388,107,000 1,340,725,000 1,336,620,000 1,368,519,000 1,338,719,000 1,255,382,000 1,283,669,000 1,290,321,000 1,329,189,000 1,345,843,000 1,359,978,000 1,386,913,000 1,453,167,000 1,441,302,000 1,444,566,000 1,433,284,000 1,415,277,000 1,372,626,000 1,341,280,000 1,237,574,000 1,174,888,000 1,114,123,000 1,067,483,000 1,018,508,000 1,043,010,000 998,037,000 1,002,706,000 965,316,000 954,011,000 935,130,000 952,991,000 946,464,000 933,054,000 911,273,000 917,956,000 898,306,000 862,991,000 849,128,000 846,589,000 849,880,000 720,741,000 692,537,000 648,331,000 626,613,000 610,743,000 569,371,000 565,635,000 521,047,000 528,533,000 639,548,000 631,842,000 591,258,000 630,942,000 588,396,000 547,414,000 548,166,000 511,919,000  441,884,000 444,875,000 439,996,000 438,943,000 433,437,000 410,296,000 433,385,000 442,879,000           
        savings and money market
      2,378,834,000 2,346,522,000 2,292,881,000 2,242,122,000 2,316,416,000 2,329,170,000 2,336,323,000 2,234,111,000 2,211,966,000 2,209,733,000 2,209,550,000 2,184,652,000 2,184,675,000 2,199,028,000 2,194,991,000 2,214,146,000 2,197,647,000 2,225,903,000 2,296,968,000 2,048,945,000 2,004,368,000 1,932,043,000 1,881,104,000 1,945,744,000 1,693,280,000 1,600,028,000 1,593,738,000 1,573,805,000 1,562,798,000 1,448,257,000 1,503,465,000 1,502,284,000 1,533,483,000 1,481,876,000 1,476,017,000 1,453,108,000 1,430,399,000 1,390,600,000 1,379,484,000 1,371,163,000 1,465,524,000 1,180,657,000 1,168,989,000 1,177,164,000 1,161,066,000 1,160,415,000 1,136,180,000 1,121,969,000 1,115,339,000 1,120,272,000 1,089,813,000 1,076,213,000 1,063,638,000 1,090,159,000 1,195,815,000 1,424,518,000 1,428,881,000 1,290,521,000  1,216,991,000 1,223,943,000 1,228,754,000 1,205,271,000 1,204,488,000 1,169,874,000 1,103,215,000            
        time
      994,604,000 983,937,000 1,040,464,000 1,028,021,000 1,056,872,000 1,087,185,000 1,153,299,000 1,217,502,000 1,268,013,000 1,395,291,000 1,349,829,000 1,251,720,000 1,147,293,000 991,205,000 782,058,000 680,382,000 698,538,000 706,732,000 650,865,000 803,128,000 896,580,000 898,918,000 921,226,000 930,446,000 993,741,000 1,026,453,000 1,046,684,000 1,049,148,000 1,062,124,000 1,107,255,000 1,161,551,000 1,158,814,000 1,151,455,000 1,145,868,000 1,156,659,000 1,131,564,000 1,158,107,000 1,089,364,000 1,095,409,000 1,034,724,000 1,040,457,000 1,093,574,000 1,045,738,000 992,299,000 1,005,628,000 970,050,000 1,008,828,000 978,810,000 906,466,000 818,651,000 791,842,000 889,214,000 947,751,000 1,002,097,000 1,146,377,000 1,241,327,000 1,365,779,000 1,588,088,000  1,652,798,000 1,622,261,000 1,560,649,000 1,539,242,000 1,535,769,000 1,410,206,000 1,447,308,000 1,377,356,000           
        total deposits
      6,699,354,000 6,609,764,000 6,577,684,000 6,544,989,000 6,596,048,000 6,644,011,000 6,583,013,000 6,582,455,000 6,618,854,000 6,847,592,000 6,874,745,000 6,805,737,000 6,746,968,000 6,736,223,000 6,556,434,000 6,622,061,000 6,599,031,000 6,639,158,000 6,515,863,000 6,397,159,000 6,208,950,000 5,796,118,000 5,678,929,000 5,794,685,000 5,136,069,000 5,120,023,000 5,037,659,000 4,976,849,000 4,948,128,000 4,946,490,000 5,003,680,000 4,979,099,000 4,980,431,000 4,956,354,000 4,927,497,000 4,886,382,000 4,777,444,000 4,608,201,000 4,518,578,000 4,405,142,000 4,496,602,000 3,855,666,000 3,764,691,000 3,621,590,000 3,562,317,000 3,507,803,000 3,443,528,000 3,348,033,000 3,230,320,000 3,145,463,000 3,132,947,000 3,187,333,000 3,208,574,000 3,335,038,000 3,568,916,000 3,860,931,000 3,966,524,000 4,002,573,000  3,942,259,000 3,914,857,000 3,845,621,000 3,844,483,000 3,781,923,000 3,664,160,000 3,679,200,000 3,642,244,000 3,470,797,000 3,506,152,000 3,382,259,000  3,298,220,000 1,931,829,000 1,805,267,000  1,730,921,000 1,654,386,000 
        long-term debt
      76,547,000 76,547,000 131,527,000 131,466,000 131,405,000 156,345,000 156,284,000 156,223,000 156,163,000 156,102,000 156,041,000 155,981,000 155,920,000 105,859,000 105,799,000 105,738,000 105,677,000 105,616,000 105,556,000 105,495,000 105,436,000 105,385,000 101,547,000 167,491,000 101,547,000 101,547,000 101,547,000 101,547,000 101,547,000 122,166,000 92,785,000 92,785,000 92,785,000 92,785,000 92,785,000 92,785,000 92,785,000 92,785,000 92,785,000 92,785,000 92,785,000 108,272,000 108,276,000 108,285,000 108,289,000 108,294,000 158,298,000 258,347,000 409,076,000 409,299,000 459,803,000 616,869,000 642,202,000 657,537,000 657,874,000 558,212,000 608,554,000 623,903,000  816,535,000 817,067,000 804,618,000 740,189,000 730,784,000 742,907,000 753,564,000 749,258,000 709,685,000 675,524,000 586,419,000  592,673,000 323,088,000 228,425,000  164,563,000 161,790,000 
        lease liabilities
      25,073,000 25,549,000 26,288,000 31,981,000 31,057,000  33,807,000 33,422,000 33,169,000  33,186,000                                                                   
        accrued interest payable
      6,433,000 7,068,000 8,604,000 8,755,000 8,757,000 10,051,000 12,980,000 14,998,000 16,654,000 18,948,000                                                                    
        other liabilities
      94,077,000 97,732,000 89,309,000 83,502,000 80,596,000 91,279,000 85,621,000 81,207,000 77,956,000 85,705,000 105,354,000 95,484,000 87,357,000 96,921,000 84,989,000 78,242,000 68,123,000 75,317,000 79,412,000 79,874,000 75,933,000 77,156,000 72,369,000 76,050,000 63,561,000 59,950,000 54,476,000 51,086,000 55,178,000 49,645,000 49,024,000 41,967,000 37,963,000 42,534,000 39,078,000 41,013,000 40,391,000 43,575,000 39,092,000 41,424,000 37,438,000 90,837,000 48,058,000 68,738,000 65,982,000 64,751,000 64,585,000 60,699,000 57,178,000 62,231,000 66,766,000 76,850,000 60,316,000 57,403,000 54,314,000 52,889,000 57,970,000 54,227,000  59,503,000 63,111,000 66,091,000 71,490,000 70,686,000 66,504,000 63,897,000 74,982,000 67,881,000 59,461,000 60,439,000  92,043,000 16,697,000 23,907,000  30,028,000 27,009,000 
        total liabilities
      6,901,484,000 6,816,660,000 6,833,412,000 6,800,693,000 6,847,863,000 6,933,711,000 6,871,705,000 6,868,305,000 6,902,796,000 7,138,981,000 7,169,326,000 7,091,313,000 7,050,321,000 6,979,892,000 6,899,163,000 6,844,078,000 6,812,441,000 6,860,822,000 6,742,764,000 6,625,640,000 6,436,352,000 6,047,850,000 6,104,200,000 6,088,666,000 5,574,718,000 5,484,152,000 5,451,489,000 5,404,311,000 5,338,714,000 5,315,301,000 5,250,489,000 5,200,851,000 5,167,179,000 5,123,673,000 5,059,360,000 5,020,180,000 4,931,620,000 4,879,561,000 4,800,455,000 4,765,351,000 4,732,825,000 4,054,775,000 3,921,025,000 3,798,613,000 3,736,588,000 3,680,848,000 3,666,445,000 3,668,303,000 3,697,959,000 3,618,416,000 3,861,996,000 4,082,726,000 4,112,800,000 4,252,052,000 4,523,533,000 4,724,839,000 4,900,203,000 4,764,177,000  4,903,652,000 4,810,055,000 4,755,304,000 4,749,053,000 4,655,952,000 4,591,994,000 4,562,621,000  4,376,554,000        1,944,290,000 1,854,812,000 
        contingent liabilities and other commitments
                                                                                   
        equity:
                                                                                   
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none as of march 31, 2026 and december 31, 2025
                                                                                   
        common stock
      370,633,000 381,158,000 397,479,000 399,823,000 402,400,000 404,494,000 404,494,000 404,494,000 404,494,000 405,439,000 405,439,000 405,511,000 405,866,000 408,071,000 412,994,000 417,862,000 421,153,000 426,091,000 436,957,000 440,854,000 443,505,000 442,635,000 442,635,000 442,699,000 442,853,000 447,602,000 452,278,000 456,293,000 462,952,000 470,660,000 478,721,000 485,402,000 493,794,000 503,988,000 509,243,000 519,383,000 527,403,000 530,932,000 534,856,000 538,434,000 544,029,000    784,512,000      404,167,000          427,153,000 431,185,000 430,904,000 430,204,000 427,747,000 427,657,000 428,012,000 427,458,000 427,415,000 427,009,000  10,436,000 10,080,000 9,907,000  9,392,000 9,037,000 
        additional paid-in capital
      106,501,000 107,308,000 106,675,000 106,033,000 104,849,000 105,054,000 104,794,000 104,161,000 103,130,000 102,982,000 102,550,000 101,997,000 101,188,000 101,346,000 100,426,000 98,977,000 98,270,000 98,073,000 97,279,000 96,182,000 95,721,000 94,842,000 94,336,000 93,007,000 92,284,000 91,611,000 90,604,000 89,724,000 89,374,000 88,876,000 87,939,000                                               
        retained earnings
      204,494,000 191,383,000 175,968,000 164,676,000 153,692,000 143,259,000 138,951,000 132,683,000 123,902,000 117,990,000 110,156,000 104,046,000 96,600,000 87,438,000 74,301,000 64,693,000 54,252,000 42,015,000 22,916,000 10,831,000 628,000                                  -257,931,000 -157,088,000 28,083,000 64,524,000  281,682,000 290,353,000 282,673,000 270,624,000 258,880,000 245,322,000 231,285,000 218,341,000 204,765,000 192,547,000 180,414,000  159,168,000 154,064,000 147,972,000  136,109,000 124,972,000 
        accumulated other comprehensive loss
      -87,749,000 -87,268,000 -92,056,000 -101,658,000 -103,565,000 -114,422,000 -104,514,000 -122,691,000 -124,323,000 -122,596,000 -149,547,000 -135,275,000 -132,728,000 -143,984,000 -149,253,000 -126,432,000 -87,347,000                         -16,760,000       -4,206,000 -14,135,000 -14,565,000 -5,966,000 -4,184,000 -6,954,000      -11,859,000                  
        total equity
      593,879,000 592,581,000 588,066,000 568,874,000 557,376,000 538,385,000 543,725,000 518,647,000 507,203,000 503,815,000  476,279,000 470,926,000 452,871,000 438,468,000 455,100,000 486,378,000 558,267,000 555,467,000 552,841,000 542,913,000 546,733,000 543,942,000 544,306,000 533,830,000 528,520,000    491,725,000 478,151,000 480,668,000 484,108,000 500,035,000 509,870,000 512,955,000 511,561,000 504,675,000 519,492,000 517,616,000 509,377,000 651,981,000 660,052,000 511,005,000 490,482,000 477,440,000 466,420,000 450,855,000 433,774,000 394,982,000 76,055,000 90,515,000 166,543,000 182,125,000 345,989,000 446,671,000 625,084,000 667,382,000                    
        total liabilities and equity
      7,495,363,000 7,409,241,000 7,421,478,000 7,369,567,000 7,405,239,000 7,472,096,000 7,415,430,000 7,386,952,000 7,409,999,000 7,642,796,000 7,637,924,000 7,567,592,000 7,521,247,000 7,432,763,000 7,337,631,000 7,299,178,000 7,298,819,000 7,419,089,000 7,298,231,000 7,178,481,000 6,979,265,000 6,594,583,000 6,648,142,000 6,632,972,000 6,108,548,000 6,012,672,000    5,807,026,000 5,728,640,000 5,681,519,000 5,651,287,000 5,623,708,000 5,569,230,000 5,533,135,000 5,443,181,000 5,384,236,000 5,319,947,000 5,282,967,000 5,242,202,000 4,706,756,000 4,581,077,000 4,309,618,000 4,227,070,000 4,158,288,000 4,132,865,000 4,119,158,000 4,131,733,000 4,013,398,000 3,938,051,000 4,173,241,000 4,279,343,000 4,434,177,000 4,869,522,000 5,171,510,000 5,525,287,000 5,431,559,000                    
        debt securities held-to-maturity, at amortized cost; fair value of: 495,845 at december 31, 2025 and 506,681 at december 31, 2024
       562,391,000                                                                            
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at december 31, 2025, and december 31, 2024
                                                                                   
        debt securities held-to-maturity, at amortized cost; fair value of: 500,859 as of september 30, 2025 and 506,681 as of december 31, 2024
        570,886,000                                                                           
        less: allowance for credit losses
        -60,393,000 -59,611,000 -60,469,000  -61,647,000 -62,225,000 -63,532,000  64,517,000                                                                   
        federal home loan bank of des moines ("fhlb") and federal reserve bank ("frb") stock
        25,215,000 24,816,000 24,163,000                                                                         
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none as of september 30, 2025 and december 31, 2024
                                                                                   
        debt securities held-to-maturity, at amortized cost; fair value of: 499,833 as of june 30, 2025 and 506,681 as of december 31, 2024
         580,476,000                                                                          
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none as of june 30, 2025 and december 31, 2024
                                                                                   
        debt securities held-to-maturity, at amortized cost; fair value of: 511,717 as of march 31, 2025 and 506,681 as of december 31, 2024
          589,688,000                                                                         
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none as of march 31, 2025 and december 31, 2024
                                                                                   
        held-to-maturity debt securities, fair value of: 506,681 at december 31, 2024 and 565,178 at december 31, 2023
           596,930,000                                                                        
        federal home loan bank of des moines ("fhlb") stock
           6,929,000 6,929,000 6,925,000 6,921,000 6,793,000 10,995,000                                                                   
        right-of-use lease asset
           30,824,000    29,720,000  33,247,000 34,237,000 34,985,000 35,978,000 36,978,000 38,435,000 39,441,000 40,757,000 41,890,000 44,727,000 45,857,000 44,896,000 50,039,000 51,198,000 52,348,000 52,588,000                                                   
        lease liability
           32,025,000    30,634,000  34,111,000 35,076,000 35,889,000 36,941,000 38,037,000 39,610,000 40,731,000 41,933,000 43,112,000 46,033,000 47,191,000 45,355,000 50,440,000 51,541,000 52,632,000 52,807,000 53,829,000 54,861,000                                                 
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at december 31, 2024, and december 31, 2023
                                                                                   
        available-for-sale debt securities, at fair value
            723,453,000 676,719,000 660,833,000  625,253,000 664,071,000 687,188,000 671,794,000 686,681,000 787,373,000 1,199,482,000 1,631,699,000 1,535,450,000 1,407,340,000 1,216,341,000 1,182,609,000 1,166,319,000 1,168,594,000 1,184,023,000 1,126,983,000 1,186,875,000 1,254,743,000 1,319,450,000  1,233,002,000 1,279,969,000 1,326,092,000                                             
        held-to-maturity debt securities, at amortized cost; fair value of: 546,990 at september 30, 2024 and 565,178 at december 31, 2023
            606,117,000                                                                       
        liabilities
                                                                                   
        equity
                                                                                   
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at september 30, 2024 and december 31, 2023
                                                                                   
        held-to-maturity debt securities, at amortized cost; fair value of: 528,088 at june 30, 2024 and 565,178 at december 31, 2023
             615,867,000                                                                      
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at june 30, 2024 and december 31, 2023
                                                                                   
        held-to-maturity debt securities, at amortized cost; fair value of: 541,685 at march 31, 2024 and 565,178 at december 31, 2023
              624,948,000                                                                     
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at march 31, 2024 and december 31, 2023
                                                                                   
        held-to-maturity debt securities, fair value of: 565,178 at december 31, 2023 and 596,780 at december 31, 2022
               632,338,000                                                                    
        fhlb advances and other short-term borrowings
                  25,000,000 5,000,000 115,000,000       22,000,000    150,000,000                                                    
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding none at: december 31, 2023, and december 31, 2022
                                                                                   
        held-to-maturity debt securities, at amortized cost; fair value of: 531,887 at september 30, 2023 and 596,780 at december 31, 2022
                640,053,000                                                                   
        loans held for sale, at fair value
                 2,593,000                                                                  
        shareholders' equity:
                                                                                   
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at september 30, 2023 and december 31, 2022
                                                                                   
        total shareholders' equity
                468,598,000 476,279,000 470,926,000 452,871,000 438,468,000 455,100,000 486,328,000 558,219,000 555,419,000 552,793,000 542,865,000 546,685,000 543,903,000 544,271,000 533,781,000  525,227,000 515,695,000 502,638,000 491,725,000 478,151,000 480,668,000 484,108,000 500,011,000 509,846,000 512,930,000 511,536,000 504,650,000 519,466,000 517,607,000 509,358,000 642,035,000 650,101,000 501,042,000  467,466,000 456,440,000 440,869,000 423,782,000 384,984,000  80,506,000 156,528,000 172,105,000 335,963,000 436,639,000 615,047,000 657,339,000  743,972,000                  
        held-to-maturity debt securities, at amortized cost; fair value of: 581,222 at june 30, 2023 and 596,780 at december 31, 2022
                 649,946,000                                                                  
        federal home loan bank ("fhlb") stock
                 10,960,000  9,146,000    7,964,000    8,237,000    14,983,000                                                    
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at june 30, 2023 and december 31, 2022
                                                                                   
        cash and due from banks
                  108,535,000  116,365,000 108,389,000 83,947,000  108,669,000 116,009,000 93,358,000  89,665,000 102,132,000 81,972,000  87,395,000 83,534,000 90,869,000  82,668,000 75,547,000 59,905,000  90,080,000 85,975,000 83,670,000 75,272,000 79,647,000 76,482,000 85,495,000 57,477,000 46,877,000 61,078,000 72,967,000 69,873,000 76,233,000 68,508,000 68,986,000 63,687,000 61,725,000 72,109,000 107,314,000 207,015,000 87,897,000 112,828,000 161,985,000 78,170,000  90,161,000 116,216,000 112,799,000 129,715,000 110,554,000 101,569,000 114,452,000 154,927,000 111,223,000 118,082,000 113,065,000  114,645,000 67,873,000 70,854,000  63,155,000 53,533,000 
        interest-bearing deposits in other banks
                  90,247,000  22,332,000 22,741,000 118,183,000  240,173,000 224,469,000 166,533,000  5,489,000 41,201,000 11,021,000  7,803,000 15,173,000 7,310,000  7,051,000 13,948,000 5,875,000  18,195,000 54,576,000 22,363,000 9,069,000 23,727,000 14,184,000 7,180,000 79,697,000 167,632,000 159,595,000 100,544,000 57,661,000 180,839,000 231,353,000 384,477,000 537,495,000 729,014,000 852,306,000 809,359,000 658,337,000 400,470,000 204,338,000 23,071,000 10,199,000  439,000 5,153,000 5,318,000 5,933,000 9,472,000 1,177,000 6,737,000 9,813,000 15,971,000 1,312,000 6,512,000  33,672,000 41,247,000 2,645,000  3,371,000 23,243,000 
        held-to-maturity debt securities, at amortized cost; fair value of: 599,300 at march 31, 2023 and 596,780 at december 31, 2022
                  658,596,000                                                                 
        federal home loan bank stock
                  11,960,000  13,546,000 8,943,000 8,943,000  7,952,000 8,149,000 8,155,000  17,468,000 9,229,000 18,109,000  17,183,000 17,824,000 16,145,000 16,645,000 10,965,000 10,246,000 9,007,000 7,761,000 6,484,000 6,492,000 7,333,000 11,572,000 12,173,000 15,218,000 10,420,000 47,059,000 47,494,000 48,363,000 48,797,000 48,797,000 48,797,000 48,797,000 48,797,000 48,797,000 48,797,000 48,797,000 48,797,000 48,797,000 48,797,000 48,797,000 48,797,000 48,797,000  48,797,000 48,797,000 48,797,000 48,797,000 48,797,000 48,797,000 48,797,000 48,797,000           
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at march 31, 2023 and december 31, 2022
                                                                                   
        held-to-maturity debt securities, fair value of: 596,780 at december 31, 2022 and none at december 31, 2021
                   664,883,000                                                                
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding none at: december 31, 2022, and december 31, 2021
                                                                                   
        non-controlling interest
                      50,000 48,000 48,000 48,000 48,000 48,000 39,000 35,000 49,000         24,000 24,000 25,000 25,000 25,000 26,000 9,000 19,000 9,946,000 9,951,000 9,963,000 9,969,000 9,974,000 9,980,000 9,986,000 9,992,000 9,998,000 10,003,000 10,009,000 10,015,000 10,020,000 10,026,000 10,032,000 10,037,000 10,043,000                    
        held-to-maturity debt securities, at amortized cost; fair value of: 590,880 at september 30, 2022 and none at december 31, 2021
                    662,827,000                                                               
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at september 30, 2022 and december 31, 2021
                                                                                   
        held-to-maturity debt securities, at amortized cost; fair value of: 635,565 at june 30, 2022 and none at december 31, 2021
                     663,365,000                                                              
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at june 30, 2022 and december 31, 2021
                                                                                   
        held-to-maturity debt securities, at amortized cost; fair value of: 329,503 at march 31, 2022 and none at december 31, 2021
                      329,507,000                                                             
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at march 31, 2022 and december 31, 2021
                                                                                   
        equity securities, at fair value
                        1,593,000 1,578,000 1,435,000 1,351,000 1,204,000 1,209,000 1,002,000 1,127,000 1,058,000 1,034,000 910,000  885,000 844,000 753,000                                             
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding none at: december 31, 2021, and december 31, 2020
                                                                                   
        accumulated other comprehensive income
                       -7,960,000 -1,733,000 4,926,000 3,011,000 20,128,000 23,541,000 25,551,000 19,072,000 8,409,000 9,127,000 4,458,000 -7,955,000 -16,093,000 -27,103,000 -21,248,000 -17,729,000 -1,039,000 3,216,000 3,224,000 239,000 -1,521,000 16,628,000 18,421,000 12,306,000  5,965,000 9,273,000 626,000 -1,299,000 2,164,000 161,000       -3,511,000 -4,028,000 -7,043,000 -500,000                    
        investment in unconsolidated subsidiaries
                        30,397,000 31,052,000 31,487,000 29,968,000 30,239,000 16,428,000 16,721,000 17,115,000 17,001,000 17,247,000 16,054,000 14,008,000 15,283,000 9,362,000 6,478,000 7,088,000 7,101,000 6,189,000 6,279,000 6,889,000 7,011,000 7,204,000 5,627,000 18,844,000 10,078,000 11,244,000 11,538,000 11,839,000 12,697,000 13,051,000 13,477,000 13,950,000 14,856,000 15,413,000 15,830,000 16,450,000 17,395,000 17,794,000 17,534,000 14,338,000  16,333,000 14,134,000 12,318,000 12,957,000 11,160,000 11,362,000 11,522,000 12,417,000 12,298,000 12,369,000 11,367,000  10,935,000 5,634,000 4,625,000  1,820,000 3,005,000 
        short-term borrowings
                            206,000,000  222,000,000  205,000,000 221,000,000 179,000,000  105,000,000 87,000,000 56,000,000    21,000,000 135,000,000 150,000,000 226,000,000 106,000,000      34,000 1,224,000 1,385,000 1,423,000 202,480,000 201,674,000 201,708,000 202,074,000 242,429,000 252,807,000 267,155,000 83,474,000  72,245,000 1,903,000 25,039,000 79,308,000 58,773,000 104,897,000 52,125,000 82,734,000 114,448,000 7,169,000 97,610,000  56,775,000 17,469,000 12,851,000  8,716,000 1,524,000 
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at september 30, 2021 and december 31, 2020
                                                                                   
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at june 30, 2021 and december 31, 2020
                                                                                   
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at march 31, 2021 and december 31, 2020
                                                                                   
        other real estate owned
                            128,000  100,000 164,000 466,000 276,000 276,000 414,000 414,000 595,000 595,000 851,000 851,000 1,008,000 851,000  791,000 1,032,000 1,260,000                                     
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding none at: december 31, 2020, and december 31, 2019
                                                                                   
        accumulated deficit
                           -10,920,000 -16,609,000 -16,986,000 -20,428,000 -19,102,000 -26,782,000 -34,780,000 -41,733,000 -51,718,000 -61,406,000 -70,435,000 -78,454,000 -89,036,000 -87,913,000 -94,269,000 -100,784,000 -108,941,000 -116,225,000 -122,730,000 -130,511,000 -197,851,000 -212,118,000 -361,837,000  -383,370,000 -396,848,000 -408,943,000 -420,569,000 -428,780,000 -517,316,000 -513,088,000 -438,425,000 -420,224,000                        
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at september 30, 2020 and december 31, 2019
                                                                                   
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at june 30, 2020 and december 31, 2019
                                                                                   
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at march 31, 2020 and december 31, 2019
                                                                                   
        held-to-maturity debt securities, fair value of: none at december 31, 2019 and 144,272 at december 31, 2018
                                                                                   
        loans and leases
                               4,449,540,000 4,367,862,000 4,247,113,000 4,101,571,000 4,078,366,000 3,978,027,000 3,881,581,000 3,816,146,000 3,770,615,000 3,636,370,000 3,591,735,000 3,545,718,000 3,524,890,000 3,439,654,000 3,403,947,000 3,308,968,000 2,373,077,000 2,274,598,000 2,110,163,000 2,101,163,000 2,082,752,000 2,064,447,000 2,059,435,000 2,046,747,000 2,067,302,000 2,169,444,000 2,367,320,000 2,625,432,000 2,844,189,000 3,041,980,000 3,457,682,000 3,688,519,000 3,818,900,000  4,072,536,000 3,937,023,000 3,904,542,000 3,846,004,000   3,620,478,000 3,552,749,000   3,235,788,000   1,619,086,000     
        allowance for loan and lease losses
                               -47,971,000 -48,167,000 -48,267,000 -47,267,000 -47,916,000 -46,826,000 -48,181,000 -49,217,000 -50,001,000 -51,217,000 -52,828,000 -55,369,000 -56,631,000 -59,384,000 -60,764,000 -62,149,000      -122,093,000    -192,854,000    -205,279,000                       
        loans and leases, net of allowance for loan and lease losses
                               4,401,569,000    4,030,450,000    3,720,614,000                                            
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding none at: december 31, 2019, and december 31, 2018
                                                                                   
        held-to-maturity debt securities, at amortized cost; fair value of: none at september 30, 2019 and 144,272 at december 31, 2018
                                                                                   
        net loans and leases
                                4,319,695,000 4,198,846,000 4,054,304,000  3,931,201,000 3,833,400,000 3,766,929,000  3,585,153,000 3,538,907,000 3,490,349,000 3,468,259,000 3,380,270,000 3,343,183,000 3,246,819,000 2,285,972,000 2,187,792,000 2,013,235,000 1,997,349,000 1,968,430,000 1,942,354,000 1,916,005,000 1,879,813,000 1,889,292,000 1,976,590,000 2,149,718,000 2,423,473,000 2,632,543,000 2,836,701,000 3,252,768,000 3,522,448,000 3,696,614,000  4,000,019,000 3,885,614,000 3,853,928,000 3,793,724,000   3,567,421,000 3,499,813,000   3,184,165,000   1,594,152,000     
        shareholders' equity
                                                                                   
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at september 30, 2019 and december 31, 2018
                                                                                   
        total liabilities and shareholders' equity
                                5,976,716,000 5,920,006,000 5,841,352,000                               5,647,624,000                  
        held-to-maturity debt securities, at amortized cost; fair value of: none at june 30, 2019 and 144,272 at december 31, 2018
                                                                                   
        right of use lease asset
                                 53,678,000 54,781,000                                                 
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at june 30, 2019 and december 31, 2018
                                                                                   
        held-to-maturity debt securities, at amortized cost; fair value of: none at march 31, 2019 and 144,272 at december 31, 2018
                                                                                   
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at march 31, 2019 and december 31, 2018
                                                                                   
        available-for-sale investment securities, at fair value
                                   1,205,478,000                                                
        held-to-maturity investment securities, fair value of: 144,272 at december 31, 2018 and 189,201 at december 31, 2017
                                   148,508,000                                                
        equity investment securities, at fair value
                                   826,000                                                
        core deposit premium
                                     669,000 1,337,000 2,006,000 2,674,000 3,343,000 4,012,000  5,349,000 6,018,000 6,686,000                   29,844,000 30,529,000 31,213,000 31,898,000 32,872,000 33,846,000 34,821,000 35,795,000 37,450,000 39,105,000 40,761,000  51,124,000      
        federal home loan bank advances and other short-term borrowings
                                   197,000,000    32,000,000                                            
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding none at: december 31, 2018, and december 31, 2017
                                                                                   
        held-to-maturity debt securities, at amortized cost; fair value of: 146,466 at september 30, 2018 and 189,201 at december 31, 2017
                                    152,852,000                                               
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at september 30, 2018 and december 31, 2017
                                                                                   
        held-to-maturity debt securities, at amortized cost; fair value of: 152,330 at june 30, 2018 and 189,201 at december 31, 2017
                                     158,156,000                                              
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at june 30, 2018 and december 31, 2017
                                                                                   
        surplus
                                     86,949,000 86,497,000 86,098,000 85,300,000 84,592,000 84,678,000 84,180,000 84,207,000 83,482,000 83,534,000 72,173,000 71,735,000 69,094,000 67,933,000 67,561,000 66,585,000 65,479,000 64,350,000 63,436,000 63,308,000 63,183,000 62,843,000 63,359,000 63,075,000 62,837,000 62,549,000 62,276,000  54,686,000 53,932,000 53,018,000 51,756,000 50,612,000 49,723,000 48,790,000 46,432,000 46,362,000 45,848,000 45,848,000  394,605,000 45,848,000 45,848,000  45,848,000 45,848,000 
        held-to-maturity debt securities, at amortized cost; fair value of: 171,399 at march 31, 2018 and 189,201 at december 31, 2017
                                      177,078,000                                             
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at march 31, 2018 and december 31, 2017
                                                                                   
        available-for-sale, at fair value
                                       1,304,891,000 1,350,105,000 1,315,895,000 1,302,889,000  1,262,224,000 1,260,593,000 1,299,176,000                                     
        held to maturity, fair value of: 189,201 at december 31, 2017 and 214,366 at december 31, 2016
                                       191,753,000                                            
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding none at: december 31, 2017, and december 31, 2016
                                                                                   
        held-to-maturity, at amortized cost; fair value of: 195,714 at september 30, 2017 and 214,366 at december 31, 2016
                                        197,672,000                                           
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at september 30, 2017 and december 31, 2016
                                                                                   
        held-to-maturity, at amortized cost; fair value of: 203,334 at june 30, 2017 and 214,366 at december 31, 2016
                                         204,588,000                                          
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at june 30, 2017 and december 31, 2016
                                                                                   
        held-to-maturity, at amortized cost; fair value of: 208,181 at march 31, 2017 and 214,366 at december 31, 2016
                                          211,426,000                                         
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at march 31, 2017 and december 31, 2016
                                                                                   
        available for sale, at fair value
                                           1,243,847,000    1,510,861,000 1,537,065,000 1,499,546,000 1,632,524,000 1,645,952,000 1,492,994,000 1,466,970,000 1,400,380,000 1,076,181,000 702,517,000 579,969,000 403,141,000 395,073,000 919,655,000     801,640,000 811,085,000 814,691,000 833,154,000 832,255,000 825,682,000 841,083,000 853,442,000 871,942,000 1,018,597,000 819,581,000  800,744,000 627,683,000 615,725,000  494,261,000 473,364,000 
        held to maturity, at amortized cost
                                           217,668,000             2,828,000          49,495,000 52,780,000 65,204,000 66,918,000 68,641,000 70,657,000 71,843,000 77,418,000 78,983,000 98,590,000  103,520,000 30,756,000     
        other real estate
                                           791,000    7,437,000 10,068,000 47,378,000 49,379,000 52,725,000 61,681,000 62,720,000 42,863,000 56,601,000 57,507,000 51,958,000 38,042,000 31,571,000 26,954,000 21,093,000 17,862,000 16,558,000              580,000 1,518,000    547,000 
        other intangible assets
                                           4,680,000    34,731,000 36,175,000 38,773,000 39,700,000 41,444,000 41,986,000 42,367,000 43,526,000 44,498,000 44,639,000 44,774,000 45,362,000 45,610,000 45,390,000 44,926,000 44,713,000 43,122,000                    
        preferred stock, no par value, authorized 1,000,000 shares, issued and outstanding none at december 31, 2016 and 2015
                                                                                   
        held-to-maturity, at amortized cost; fair value of: 230,529 at september 30, 2016 and 244,136 at december 31, 2015
                                            226,573,000                                       
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding: none at september 30, 2016 and december 31, 2015
                                                                                   
        held-to-maturity, at amortized cost
                                             234,230,000 241,597,000                                     
        preferred stock
                                                                                   
        held to maturity
                                               254,981,000 159,363,000 163,733,000 487,000 704,000  1,250,000 1,578,000 1,943,000  3,298,000 3,731,000 4,234,000  5,332,000 6,830,000 7,523,000                    
        less allowance for loan and lease losses
                                               87,105,000 86,806,000 96,928,000 103,814,000 114,322,000  143,430,000 166,934,000 178,010,000  217,602,000 201,959,000 211,646,000  204,914,000 166,071,000 122,286,000  72,517,000 51,409,000 50,614,000 52,280,000   53,057,000 52,936,000   51,623,000   24,934,000     
        preferred stock, no par value, authorized 1,100,000 shares, issued and outstanding
                                                                                   
        none at june 30, 2013 and december 31, 2012, respectively
                                                                                   
        42,088,976 and 41,867,046 shares at june 30, 2013 and december 31, 2012, respectively
                                               784,473,000                                    
        see accompanying notes to consolidated financial statements.
                                                                                   
        none at march 31, 2013 and december 31, 2012, respectively
                                                                                   
        41,938,294 and 41,867,046 shares at march 31, 2013 and december 31, 2012, respectively
                                                784,519,000                                   
        41,859,566 and 41,749,116 shares at september 30, 2012 and december 31, 2011, respectively
                                                 784,512,000                                  
        total shareholders’ equity
                                                  480,513,000      66,052,000          753,543,000 753,536,000 738,139,000 722,938,000 698,818,000 686,536,000 676,234,000 665,008,000 657,466,000 640,816,000  559,439,000 199,684,000 203,513,000  187,476,000 178,630,000 
        41,747,020 and 41,749,116 shares at march 31, 2012 and december 31, 2011, respectively
                                                   784,574,000                                
        held to maturity, at amortized cost (fair value of 976 at
                                                                                   
        december 31, 2011 and 2,913 at december 31, 2010)
                                                    931,000                               
        income tax receivable
                                                    2,395,000 2,402,000 2,400,000 2,353,000 2,223,000 39,757,000 38,977,000 38,977,000 39,839,000 66,757,000 53,443,000 47,728,000                    
        preferred stock, no par value, authorized 1,000,000 shares, issued and outstanding
                                                                                   
        none and 135,000 shares at december 31, 2011 and 2010, respectively
                                                                                   
        41,749,116 and 1,527,000 shares at december 31, 2011 and 2010, respectively
                                                    784,539,000                               
        preferred stock, no par value, authorized 1,000,000 shares; issued and outstanding
                                                                                   
        none at september 30, 2011 and 135,000 shares at december 31, 2010
                                                                                   
        41,749,116 shares at september 30, 2011 and 1,527,000 shares at december 31, 2010
                                                     784,172,000                              
        none at june 30, 2011 and 135,000 shares at december 31, 2010
                                                                                   
        41,738,830 shares at june 30, 2011 and 1,527,000 shares at december 31, 2010
                                                      784,207,000                             
        none at march 31, 2011 and 135,000 shares at december 31, 2010
                                                                                   
        39,649,052 shares at march 31, 2011 and 1,527,000 shares at december 31, 2010
                                                       764,463,000                            
        goodwill
                                                            102,689,000 102,689,000 152,689,000 152,689,000  292,453,000 291,985,000 291,985,000 297,883,000 298,121,000 297,251,000 295,403,000 303,358,000 299,232,000 288,090,000 289,848,000  283,872,000      
        preferred stock, no par value, authorized 1,000,000 shares, issued and outstanding 135,000 shares at december 31, 2010 and 2009
                                                        130,458,000                           
        trading, at fair value
                                                         22,237,000 23,909,000 49,491,000                        
        135,000 shares at september 30, 2010 and december 31, 2009
                                                         130,086,000                          
        30,364,680 shares at september 30, 2010 and 30,328,764 shares at december 31, 2009
                                                         406,291,000                          
        135,000 shares at june 30, 2010 and december 31, 2009
                                                          129,714,000                         
        30,370,553 shares at june 30, 2010 and 30,328,764 shares at december 31, 2009
                                                          406,580,000                         
        135,000 shares at march 31, 2010 and december 31, 2009
                                                           129,344,000                        
        30,370,421 shares at march 31, 2010 and 30,328,764 shares at december 31, 2009
                                                           406,580,000                        
        held to maturity, at amortized cost (fair value of 4,804 at december 31, 2009
                                                                                   
        and 8,759 at december 31, 2008)
                                                            4,704,000                       
        135,000 shares at december 31, 2009 and none at december 31, 2008
                                                            128,975,000                       
        30,328,764 shares at december 31, 2009 and 28,732,259 shares at december 31, 2008
                                                            405,355,000                       
        available for sale
                                                             973,364,000 1,049,949,000 933,215,000                    
        135,000 shares at september 30, 2009 and none at december 31, 2008
                                                             128,606,000                      
        30,329,123 shares at september 30, 2009 and 28,732,259 shares at december 31, 2008
                                                             406,312,000                      
        federal funds sold
                                                              19,000,000 7,000,000  14,900,000 14,900,000           3,160,000 3,500,000     
        135,000 shares at june 30, 2009 and none at december 31, 2008
                                                              128,239,000                     
        28,745,214 shares at june 30, 2009 and 28,732,259 shares at december 31, 2008
                                                              403,219,000                     
        135,000 shares at march 31, 2009 and none at december 31, 2008
                                                               127,836,000                    
        28,740,217 shares at march 31, 2009 and 28,732,259 shares at december 31, 2008
                                                               403,203,000                    
        exhibit no.
                                                                                   
        3.1
                                                                                   
        3.2
                                                                                   
        4.1
                                                                                   
        10.1
                                                                                   
        10.2
                                                                                   
        10.3
                                                                                   
        10.4
                                                                                   
        10.5
                                                                                   
        10.6
                                                                                   
        10.7
                                                                                   
        10.8
                                                                                   
        10.9
                                                                                   
        10.10
                                                                                   
        10.11
                                                                                   
        10.12
                                                                                   
        10.13
                                                                                   
        10.14
                                                                                   
        10.15
                                                                                   
        10.16
                                                                                   
        10.17
                                                                                   
        10.18
                                                                                   
        10.19
                                                                                   
        10.20
                                                                                   
        10.21
                                                                                   
        10.22
                                                                                   
        10.23
                                                                                   
        10.24
                                                                                   
        14.1
                                                                                   
        14.2
                                                                                   
        31.1
                                                                                   
        31.2
                                                                                   
        32.1
                                                                                   
        32.2
                                                                                   
        held to maturity, at amortized cost (fair value of 46,977 at
                                                                                   
        september 30, 2007 and 64,249 at december 31, 2006)
                                                                 47,465,000                  
        liabilities and shareholders' equity
                                                                                   
        minority interest
                                                                 13,110,000 13,117,000 13,502,000 13,130,000 13,515,000 13,143,000 13,528,000 13,157,000 13,541,000 12,781,000 13,258,000  13,082,000 10,062,000 10,362,000  10,062,000 10,062,000 
        preferred stock, no par value, authorized 1,000,000 shares, none issued
                                                                                   
        29,914,586 shares at september 30, 2007 and 30,709,389 shares at december 31, 2006
                                                                 419,463,000                  
        liabilities and shareholders’ equity
                                                                                   
        shareholders’ equity:
                                                                                   
        total liabilities and shareholders’ equity
                                                                  5,563,598,000 5,508,840,000 5,487,192,000 5,378,890,000 5,290,812,000 5,249,157,000 5,239,139,000 5,041,562,000 4,918,781,000 4,781,023,000  4,612,463,000 2,498,829,000 2,284,325,000  2,131,766,000 2,033,442,000 
        due from customers on acceptances
                                                                   433,000 453,000 271,000 383,000 307,000 530,000 202,000 228,000 222,000  231,000     41,000 
        bank acceptances outstanding
                                                                   433,000 453,000 271,000 383,000 307,000 530,000 202,000 228,000 222,000  231,000     41,000 
        deferred stock awards
                                                                                   
        less allowance for loan losses
                                                                     52,611,000 52,914,000   52,745,000 51,657,000   49,879,000  24,848,000  24,805,000 25,109,000 
        net loans
                                                                     3,712,470,000 3,636,373,000   3,313,875,000 3,153,467,000   3,011,988,000  1,434,594,000  1,401,053,000 1,314,229,000 
        savings
                                                                        1,091,057,000           
        toal liabilities
                                                                        4,562,905,000  4,261,315,000 4,140,207,000  4,053,024,000 2,299,145,000 2,080,812,000    
        noninterest-bearing deposits
                                                                         659,699,000 663,133,000 652,309,000  579,337,000 456,333,000 369,151,000  331,485,000 297,791,000 
        interest-bearing deposits
                                                                         2,811,098,000 2,843,019,000 2,729,950,000  2,718,883,000 1,475,496,000 1,436,116,000  1,399,436,000 1,356,595,000 
        held to maturity, at amortized cost (fair value of 35,046 at march 31, 2004, 35,271 at december 31, 2003, and 56,925 at march 31, 2003
                                                                               33,642,000    
        held to maturity, at cost
                                                                                 42,883,000  
        held to maturity, at cost (fair value of 56,925 at march 31, 2003, 58,491 at december 31, 2002, and 70,239 at march 31, 2002
                                                                                  54,936,000 
      Cashflow Statements:
      Quarterly
      Annual
        Unit: USD2026-03-31 2025-12-31 2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-12-31 2016-09-30 2016-06-30 2016-03-31 2012-09-30 2012-06-30 2012-03-31 2011-12-31 2011-09-30 2011-06-30 2011-03-31 2010-12-31 2010-09-30 2010-06-30 2010-03-31 2009-12-31 2009-09-30 2009-06-30 2009-03-31 2008-03-31 2007-06-30 2007-03-31 2006-12-31 2006-09-30 2006-06-30 2006-03-31 2005-12-31 2005-09-30 2005-06-30 2005-03-31 2004-09-30 2004-06-30 2004-03-31 2003-09-30 2003-06-30 2003-03-31 
                                                                                 
          cash flows from operating activities:
                                                                                 
          net income
        20,725,000 22,875,000 18,574,000 18,271,000 17,760,000 11,345,000 13,305,000 15,817,000 12,945,000 14,866,000 13,141,000 14,475,000 16,187,000 20,181,000 16,715,000 17,594,000 19,438,000 22,327,000 20,815,000 18,714,000 18,038,000 12,171,000 6,859,000 9,917,000 8,326,000 14,197,000 14,554,000 13,534,000 16,037,000 15,792,000 15,193,000 14,224,000 14,277,000 4,288,000 11,812,000 12,025,000 13,079,000 12,208,000 11,466,000 12,137,000 11,181,000 10,721,000 10,812,000 13,478,000 12,095,000 11,626,000 8,211,000 4,639,000    -160,219,000    2,629,000 1,658,000 21,016,000 20,135,000 18,800,000 20,603,000 20,438,000 19,339,000 19,355,000 17,997,000 17,902,000 17,205,000 7,684,000 8,668,000 7,910,000 8,283,000 7,984,000 8,576,000 
          adjustments to reconcile net income to net cash from operating activities:
                                                                                 
          provision for credit losses
        2,353,000  4,157,000 4,987,000 4,172,000  2,833,000 2,239,000 3,936,000                                                                 
          depreciation and amortization of premises and equipment
        1,728,000 1,746,000 1,794,000 1,822,000 1,741,000 1,745,000 1,679,000 1,708,000 1,746,000 1,739,000 1,828,000 1,748,000 1,628,000 1,648,000 1,710,000 1,751,000 1,756,000 1,824,000 1,867,000 1,685,000 1,608,000 1,595,000 1,618,000 1,506,000 1,504,000 1,511,000 1,543,000 1,545,000 1,540,000 1,588,000                                            
          non-cash lease expense
           59,000 28,000                 875,000 59,000 58,000 59,000 64,000 69,000                                               
          cash flows from operating leases
        -1,232,000  -1,283,000    -1,564,000 -1,425,000 -1,257,000  -1,258,000 -1,302,000 -1,390,000  -1,464,000 -1,515,000 -1,506,000  -1,602,000 -1,726,000 -1,599,000 -1,628,000 -1,554,000 -1,595,000 -1,594,000 -1,567,000 -1,558,000 -1,556,000 -1,549,000                                             
          amortization of mortgage servicing rights
        265,000 236,000 210,000 205,000 192,000 193,000 213,000 192,000 178,000 167,000 182,000 167,000 189,000 180,000 252,000 329,000 534,000 668,000 718,000 850,000 1,232,000  1,341,000 1,670,000 1,547,000                                501,000                 
          net accretion of discount on investment securities
        -330,000                                                                         
          common shares withheld to satisfy tax obligations related to share‑based compensation
        -1,386,000                                                                         
          share-based compensation
        579,000 633,000 642,000 1,184,000 -205,000  633,000 1,031,000 148,000                       452,000 399,000  708,000 -86,000 498,000 -27,000 725,000 -52,000 687,000 1,161,000 372,000 976,000 1,106,000 1,129,000 914,000 128,000 125,000 340,000 -516,000 284,000 237,000 289,000 273,000 -437,000 612,000 914,000 1,262,000 898,000 878,000 842,000 860,000           
          net gain on sales of residential mortgage loans
        -205,000 -719,000 -441,000 -281,000 -187,000 -334,000 -175,000 -531,000 -217,000 -156,000 -269,000 -168,000 -128,000 -152,000 -287,000 -570,000 -769,000 -1,907,000 -815,000 -1,215,000 -2,439,000 -6,072,000 -4,698,000 -4,546,000 -727,000 -1,292,000 -1,250,000 -975,000 -611,000 -1,072,000 -1,082,000 -959,000 -972,000                                         
          proceeds from sales of loans held for sale
        8,448,000 42,832,000 23,947,000 23,199,000 14,454,000 20,568,000 11,151,000 25,861,000 10,759,000 9,807,000 15,657,000 8,487,000 5,999,000 6,474,000 11,860,000 30,531,000 31,372,000 53,050,000 24,078,000 31,577,000 57,439,000 130,457,000 120,281,000 136,145,000 31,498,000 55,002,000 59,194,000 61,613,000 31,877,000 56,170,000 65,673,000 54,188,000 64,106,000 69,690,000 81,242,000 81,961,000 86,663,000 116,983,000 121,500,000 110,158,000 83,690,000 264,599,000 221,700,000 189,500,000 249,307,000 109,787,000 111,915,000 196,043,000 315,118,000 272,893,000 218,559,000 262,534,000 302,911,000 353,686,000 514,720,000 542,074,000 353,790,000 225,648,000 195,552,000 107,157,000 105,417,000 254,515,000 53,824,000 272,603,000 86,864,000 85,202,000 25,861,000 14,243,000 5,774,000 11,614,000 22,495,000 25,953,000 13,989,000 
          originations of loans held for sale
        -9,808,000  -25,063,000 -20,130,000 -11,393,000  -8,635,000 -28,308,000 -9,736,000  -12,795,000 -10,912,000 -4,766,000  -12,739,000 -25,819,000 -31,749,000  -23,192,000 -30,489,000 -43,547,000  -129,102,000 -138,132,000 -25,598,000  -58,112,000 -63,947,000 -28,158,000  -59,955,000 -54,833,000 -54,290,000  -78,077,000 -84,260,000 -63,375,000 -134,001,000 -122,122,000 -106,964,000 -79,385,000   -158,372,000 -239,673,000 -130,159,000 -112,773,000 -179,824,000 -275,200,000 -239,813,000 -223,584,000 -216,694,000 -317,449,000 -304,498,000 -526,721,000 -561,013,000 -352,083,000                 
          equity in the earnings of unconsolidated entities
        -13,000                                                                         
          distributions from unconsolidated entities
        30,000 63,000 865,000       7,000 13,000 31,000 57,000 23,000 91,000 66,000                                                         
          net increase in cash surrender value of bank-owned life insurance
        -399,000 -1,671,000 -3,024,000 -2,260,000 -497,000 -1,966,000 -1,897,000 -1,234,000 -1,522,000         -1,686,000 -672,000   -3,592,000 15,000   -1,760,000 -645,000 98,000 -952,000 -1,456,000 27,000 -501,000 -318,000  -1,086,000 -1,962,000 -208,000                                     
          deferred income tax expense
        -2,974,000 -14,638,000 2,385,000 -8,568,000 5,330,000 -4,598,000 12,204,000 -1,487,000 2,652,000                                         2,439,000 4,843,000   3,412,000 6,776,000 -209,000 4,572,000  -15,000 -140,000 179,000 -7,031,000 10,072,000 2,929,000 1,712,000       
          net tax expense from share-based compensation
          68,000 69,000  63,000 68,000 60,000  -5,000                                                               
          net change in other assets and liabilities
        548,000 9,911,000 -2,084,000 17,223,000 -9,418,000 11,764,000 -9,035,000 11,517,000 -3,340,000 4,846,000 15,271,000 9,993,000 -9,030,000 -52,952,000 20,436,000 28,502,000 15,735,000 1,381,000 -11,203,000 23,338,000 -6,126,000 15,911,000 -25,753,000 11,228,000 4,570,000 14,405,000 -3,527,000 -6,609,000 -2,173,000 12,590,000 -2,651,000 -2,076,000 -3,198,000 3,989,000 -7,422,000 -5,906,000 -2,373,000 8,965,000 -2,408,000 2,735,000 -1,362,000   -17,316,000 -1,294,000 3,959,000 -1,199,000 1,843,000 -18,617,000 23,731,000 -2,552,000 3,441,000 -1,894,000 6,100,000 12,998,000 -7,105,000 -18,274,000                 
          net cash from operating activities
        18,329,000 20,517,000 22,235,000 34,273,000 20,440,000 26,307,000 21,266,000 25,950,000 16,996,000 21,612,000 35,233,000 29,999,000 18,268,000 32,120,000 34,450,000 38,141,000 9,410,000 35,573,000 15,775,000 39,461,000 19,679,000 36,382,000 -16,648,000 25,813,000 31,245,000 19,708,000 14,515,000 12,086,000 25,883,000 25,280,000 28,525,000 20,336,000 29,345,000 20,205,000 18,407,000 13,002,000 45,170,000 7,473,000 18,343,000 26,519,000 24,150,000 14,591,000 1,292,000 26,805,000 13,499,000 -18,107,000 3,286,000 24,445,000 72,331,000 65,723,000 22,453,000 60,926,000 27,371,000 97,538,000 9,047,000 -2,890,000 26,255,000 16,157,000 9,544,000 15,274,000 34,010,000 22,047,000 16,440,000 31,993,000 -11,899,000   -4,681,000 6,567,000 10,859,000 26,794,000 -14,733,000 15,309,000 
          capital expenditures
          
          free cash flows
        18,329,000 20,517,000 22,235,000 34,273,000 20,440,000 26,307,000 21,266,000 25,950,000 16,996,000 21,612,000 35,233,000 29,999,000 18,268,000 32,120,000 34,450,000 38,141,000 9,410,000 35,573,000 15,775,000 39,461,000 19,679,000 36,382,000 -16,648,000 25,813,000 31,245,000 19,708,000 14,515,000 12,086,000 25,883,000 25,280,000 28,525,000 20,336,000 29,345,000 20,205,000 18,407,000 13,002,000 45,170,000 7,473,000 18,343,000 26,519,000 24,150,000 14,591,000 1,292,000 26,805,000 13,499,000 -18,107,000 3,286,000 24,445,000 72,331,000 65,723,000 22,453,000 60,926,000 27,371,000 97,538,000 9,047,000 -2,890,000 26,255,000 16,157,000 9,544,000 15,274,000 34,010,000 22,047,000 16,440,000 31,993,000 -11,899,000   -4,681,000 6,567,000 10,859,000 26,794,000 -14,733,000 15,309,000 
          cash flows from investing activities:
                                                                                 
          purchases of investment securities available-for-sale
        -48,862,000 -9,769,000 -40,823,000  -33,197,000 -29,712,000 -32,624,000  -4,150,000 6,000 -14,913,000  6,000 -22,459,000 -66,610,000  -304,287,000 -456,355,000 -139,785,000  -204,342,000 -51,291,000 -96,068,000      -21,000 -73,000 -85,240,000                                         
          proceeds from maturities, prepayments and calls of investment securities available-for-sale
        15,800,000 16,416,000 17,420,000 27,721,000 13,902,000                                                                     
          proceeds from maturities, prepayments and calls of investment securities held-to-maturity
        9,188,000 9,920,000 11,187,000 10,764,000 8,606,000                                                                     
          loan (originations) payments
        -17,872,000                                                                         
          purchases of loan portfolios
        -15,795,000 -34,129,000 -34,023,000 -31,440,000 -22,328,000 -14,731,000   -152,000 -19,507,000 -71,214,000 -86,485,000 -85,990,000 -79,713,000 -56,796,000 -91,722,000 -82,135,000 -36,059,000 -13,282,000 -6,680,000 -10,856,000 -22,340,000 -61,265,000 -29,493,000 -31,041,000 -18,286,000 -37,697,000 -259,000   -33,059,000 -26,604,000 -24,121,000 756,000 -25,686,000 -52,016,000                                 
          purchases of bank-owned life insurance
        -182,000 -130,000 -301,000 -593,000 -133,000 -205,000 -301,000          -3,550,000                                                     
          purchases of premises, equipment and land
        -1,066,000                                                                         
          contributions to unconsolidated entities
        -4,202,000 -5,717,000 -3,509,000 300,000 -950,000 -892,000 -10,143,000 -80,000 -7,707,000     -1,254,000 -8,500,000 -495,000                                                         
          net redemption (purchases) of frb and fhlb stock
        1,154,000                                                                         
          net cash from investing activities
        -61,837,000 94,944,000 -52,381,000 66,724,000 -42,101,000 -25,896,000 12,891,000 3,494,000 10,165,000 96,279,000 30,609,000 55,818,000 -3,045,000 -116,595,000 -64,281,000 -120,800,000 -82,807,000 -163,629,000 -113,488,000 -136,112,000 -249,067,000 41,986,000 -49,349,000 -471,558,000 -118,025,000 -28,105,000 -52,263,000 -69,455,000 20,851,000 -62,839,000 -58,037,000 -12,113,000 -78,154,000 -96,378,000 -76,246,000 -53,233,000 -70,270,000 -92,425,000 -34,970,000 -47,117,000 -102,704,000   -170,580,000 -51,405,000 -101,458,000 -250,821,000 -283,560,000  -11,451,000 170,950,000 590,539,000 347,404,000 182,641,000 -31,140,000 -12,881,000 -144,347,000                 
          cash flows from financing activities:
                                                                                 
          net increase in deposits
        89,590,000     60,998,000 558,000 -36,399,000 -228,738,000 -27,153,000 69,008,000 58,769,000 10,745,000 179,789,000 -65,627,000 23,030,000 -40,127,000 123,295,000 118,704,000 188,209,000 412,832,000 117,189,000 -115,756,000 658,616,000 16,046,000 82,364,000 60,810,000 28,721,000 1,638,000 -57,190,000 24,581,000 -1,332,000 24,077,000 28,857,000 41,115,000 108,938,000 169,243,000 89,623,000 113,436,000 -91,460,000 63,163,000 59,273,000 54,514,000 64,275,000 95,495,000 117,713,000 84,857,000 12,516,000   -126,464,000 -233,878,000   -36,049,000 91,007,000 -222,698,000 69,236,000 1,138,000 62,560,000 117,763,000 -15,040,000 36,956,000 171,447,000 -35,449,000 123,893,000 55,233,000 -8,722,000 126,562,000 51,983,000 23,004,000 53,531,000 13,285,000 
          repayments of long-term debt
         -55,000,000 -25,000,000                 -50,000,000    -20,619,000               -50,004,000 -100,049,000 -150,729,000 -223,000 -50,218,000 -157,029,000 -25,292,000 -15,288,000 -50,284,000 -278,000 -50,275,000 -15,272,000 -25,268,000 -30,365,000                 
          cash dividends paid on common stock
        -7,614,000 -7,460,000 -7,282,000 -7,287,000 -7,327,000 -7,037,000 -7,037,000 -7,036,000 -7,033,000 -7,032,000 -7,031,000 -7,029,000 -7,025,000 -7,044,000 -7,107,000 -7,153,000 -7,201,000 -6,949,000 -6,733,000 -6,787,000 -6,490,000 -6,482,000 -6,482,000 -6,475,000 -6,496,000 -6,517,000 -6,556,000 -6,581,000 -6,052,000 -6,104,000 -6,164,000 -6,205,000 -5,670,000 -5,411,000 -5,456,000 -5,510,000 -4,922,000 -4,924,000 -4,961,000 -4,356,000 -4,378,000                                 
          repurchases of common stock and other related costs
        -10,525,000 -16,321,000 -2,344,000 -2,577,000 -2,094,000  -945,000  -72,000 -355,000 -2,205,000  -4,868,000 -4,218,000 -6,731,000  -5,894,000    -4,749,000  -4,015,000 -6,243,000 -7,708,000  -6,681,000 -7,971,000 -10,111,000  -10,096,000 -7,679,000 -3,529,000  -3,540,000 -5,794,000 -4,750,000                                 
          net cash from financing activities
        71,451,000 -46,701,000 23,069,000 -60,923,000 -82,384,000 53,961,000 -6,479,000 -43,435,000 -236,716,000 -34,185,000 61,905,000   57,822,000 37,398,000 11,659,000 -53,380,000 108,121,000 106,077,000 177,238,000 385,212,000 -69,455,000 17,818,000 496,085,000 76,801,000 16,171,000 34,239,000 57,897,000 -50,741,000 50,026,000 29,736,000 15,492,000 32,296,000 50,191,000 25,563,000 74,749,000 46,792,000 65,919,000 29,335,000 18,589,000 91,035,000 59,269,000 54,509,000 14,237,000 -4,883,000 -34,037,000 99,816,000 69,558,000 -211,595,000 -46,530,000 -142,082,000 -274,480,000 -203,574,000 -167,069,000 130,780,000 3,395,000 120,531,000 41,393,000 3,252,000 86,658,000 55,241,000 21,535,000 5,237,000 173,220,000 72,771,000 117,058,000 124,873,000 52,246,000      
          net increase in cash and cash equivalents
        27,943,000     54,372,000 27,678,000 -13,991,000 -209,555,000 83,706,000 127,747,000 112,202,000 86,738,000 -26,653,000 7,567,000 -71,000,000 -126,777,000 -19,935,000 8,364,000 80,587,000 155,824,000     7,774,000 -3,509,000 528,000 -4,007,000 12,467,000 224,000 23,715,000 -16,513,000 -25,982,000 -32,276,000 34,518,000 21,692,000 -19,033,000 12,708,000 -2,009,000 12,481,000    -42,789,000 -153,602,000 -147,719,000 -189,557,000 -133,676,000 7,742,000 51,321,000 376,985,000  113,110,000 108,687,000 -12,376,000 2,439,000                 
          cash and cash equivalents at beginning of period
        378,653,000  380,941,000  522,437,000  112,044,000  328,907,000  104,067,000  102,972,000  102,186,000  82,293,000  84,341,000  80,194,000 257,072,000  790,739,000  488,367,000  107,745,000 82,129,000                 
          cash and cash equivalents at end of period
        406,596,000  -7,077,000 40,074,000 276,896,000  27,678,000 -13,991,000 312,882,000  127,747,000 112,202,000 198,782,000  7,567,000 -71,000,000 202,130,000  8,364,000 80,587,000 259,891,000  -48,179,000 50,340,000 92,993,000  -3,509,000 528,000 98,179,000  224,000 23,715,000 65,780,000  -32,276,000 34,518,000 106,033,000  12,708,000 -2,009,000 92,675,000 47,162,000 45,977,000 127,534,000  -153,602,000 -147,719,000 601,182,000  7,742,000 51,321,000 865,352,000  113,110,000 108,687,000 95,369,000 84,568,000                 
          provision (credit) for credit losses
                 4,653,000 4,874,000 4,319,000 1,852,000                                                             
          loss on disposal of premises and equipment
         1,992,000    39,000 13,000 3,000  7,000 2,000                                                             
          cash flows for operating leases
            -1,280,000                                                                     
          net amortization of premium (accretion of discount) on investment securities
                                                                                 
          net loss on sales of investment securities
                1,939,000                                                                
          origination of loans held for sale
                                                                                 
          equity in losses of unconsolidated entities
               -49,000 80,000                                                                 
          net tax benefit from share-based compensation
                      -2,000 125,000 73,000      -23,000                                                   
          amortization and impairment of intangible assets
                                                                                 
          proceeds from sales of investment securities available-for-sale
                         104,568,000                                                       
          loan payments (originations)
                                                                                 
          proceeds from sales of loans originated for investment
                                                9,558,000     5,945,000 130,840,000 18,655,000 37,950,000 166,136,000 5,200,000 8,800,000 98,444,000                  
          proceeds from bank-owned life insurance death benefits
         828,000 1,221,000   1,869,000   174,000 1,426,000 1,027,000                                                             
          net purchases of premises, equipment and land
              -5,647,000 -4,679,000 -3,253,000  -2,699,000 -4,448,000 -3,822,000  -3,162,000 -10,961,000 -858,000  -5,318,000 -5,831,000 -8,961,000  -7,681,000 -6,091,000 -5,608,000                                                 
          proceeds from sales of premises, equipment and land
                                                                                 
          net return of capital from unconsolidated entities
                                                                                
          net proceeds from (purchases) redemption of frb and fhlb stock
                                                                                 
          net decrease in fhlb advances and other short-term borrowings
                                                                                 
          proceeds from long-term debt
                 50,000,000         53,838,000                          50,000,000     30,000,000 50,000,000 100,000,000 150,000,000 25,000,000   50,000,000 50,000,000   95,000,000 77,000,000 7,000,000 15,000,000 
          cash and cash equivalents at beginning of year
                                                                                 
          cash and cash equivalents at end of year
                                                                                 
          net (accretion of discount) amortization of premium on investment securities
          -375,000 -219,000 -324,000                                                                     
          equity in the losses of unconsolidated entities
          -4,000                                                                       
          net loan payments received
          -44,478,000 72,916,000 26,860,000                                                                     
          net purchases of premises and equipment
          -873,000 -1,999,000 -889,000                      -2,038,000 -618,000 -782,000  -703,000                                           
          net purchases of fhlb and frb stock
          -399,000 -653,000 -17,234,000                                                                     
          net decrease in deposits
          32,695,000 -51,059,000 -47,963,000                                            -54,386,000                         
          net decrease in cash and cash equivalents
          -7,077,000 40,074,000 -104,045,000                    -9,979,000                   -129,538,000                              
          equity in earnings of unconsolidated entities
            -2,000       53,000 -28,000 -13,000 -58,000 -23,000 -90,000                                                         
          net gain on sales and disposals of premises and equipment
                                                                                 
          net amortization and accretion of premium/discount on investment securities
                                                                                 
          share-based compensation expense
                     920,000 1,449,000 707,000 197,000 794,000 1,097,000 461,000 879,000 506,000 1,329,000 723,000 673,000 1,007,000 880,000 350,000 498,000 937,000                                            
          purchases of available-for-sale investment securities
                                                                                 
          proceeds from maturities, prepayments and calls of available-for-sale investment securities
                                                                                 
          proceeds from sales of available-for-sale and equity investment securities
                                                                                 
          purchases of held-to-maturity investment securities
                                                                                 
          proceeds from maturities, prepayments and calls of held-to-maturity investment securities
                                                                                 
          proceeds from sales of premises and equipment
                                                                                 
          net proceeds from (purchases) redemption of fhlb stock
                        -979,000                                                         
          net increase in fhlb advances and other short-term borrowings
                   20,000,000                                                             
          repurchases of common stock
                                                                -1,825,000                 
          net proceeds from issuance of common stock and stock option exercises
                     679,000 223,000 143,000 870,000                 342,000 400,000      861,000 -860,000 15,220,000 308,317,000     -941,000 3,111,000 35,000 50,000                  
          net amortization and accretion of premium/discounts on investment securities
              459,000 538,000 561,000  783,000 799,000 803,000  1,004,000 1,117,000 1,401,000  1,842,000 3,324,000 2,391,000 2,778,000 2,800,000 2,345,000 1,982,000 2,463,000 2,164,000 2,433,000 2,211,000 2,442,000 2,696,000 2,847,000 2,922,000                                         
          equity in losses of and distributions from unconsolidated entities
                                                                                 
          proceeds from maturities of and calls on available-for-sale investment securities
              13,324,000 13,889,000 11,606,000  16,297,000 14,345,000 14,170,000                                                             
          proceeds from sale of investment securities
                                                                                 
          proceeds from maturities of and calls on held-to-maturity investment securities
              11,442,000 10,718,000 8,827,000  11,675,000 10,389,000 7,759,000                                                             
          net repayments of loans
              52,148,000 26,000,000 33,444,000                                                                 
          net sales of fhlb stock
                                                                                 
          net purchases of fhlb stock
               -4,000 -128,000  -35,000 1,000,000 -2,814,000                                                             
          net proceeds from redemption (purchases of) fhlb stock
                                                                                 
          net decrease in cash surrender value of bank-owned life insurance
                  -581,000 -1,318,000 -1,304,000  -1,123,000 205,000 1,741,000    -898,000    19,000                                                 
          deferred income tax benefit
                  -2,270,000 2,837,000 8,388,000                                                            5,255,000 
          loan repayments (originations)
                                                                                 
          investments in unconsolidated entities
                  -320,000 -45,000 -30,000                                                             
          net gain on sales of investment securities
                            -151,000                                                    
          loan payments
                   33,297,000 15,085,000                                                             
          share-based compensation (benefit) expense
                    -158,000                                                             
          net tax (benefit) expense from share-based compensation
                    -7,000                                                             
          net cash provided (used in) by financing activities
                    71,515,000                                                             
          (credit) benefit from credit losses
                     571,000 362,000 989,000 -3,195,000 -7,692,000 -2,635,000                                                       
          loss on disposals of premises and equipment
                                                                                 
          non-cash lease income
                                                                                 
          write down of other real estate, net of loss on sale
                                                                                 
          net (gain) loss on sales of investment securities
                                                                                
          net tax benefit (expense) from share-based compensation
                         -56,000 4,000 121,000 131,000                                                     
          sale of visa class b common stock
                                                                                 
          proceeds from sales of foreclosed loans and other real estate
                                                                                 
          purchases of premises and equipment
                                        -687,000 -1,682,000 -705,000 -2,562,000 -1,582,000 -2,322,000 -1,391,000 -1,529,000 -654,000   -519,000 -41,000 78,000 -440,000 -344,000 -201,000 -897,000 -634,000 -222,000 -766,000 -1,439,000 -1,476,000 -2,454,000 -2,527,000                 
          (purchases of) proceeds from redemption of fhlb stock
                                                                                 
          supplemental disclosure of cash flow information:
                                                                                 
          cash paid during the year for:
                                                                                 
          interest
                           2,779,000 1,681,000 2,308,000 3,919,000 4,929,000 6,140,000 8,337,000 7,819,000 8,514,000 8,402,000 7,974,000 5,417,000 5,675,000 4,877,000 3,620,000 3,636,000 3,065,000 2,396,000 2,444,000 2,275,000 2,201,000 1,785,000 1,261,000 1,441,000 1,787,000 2,083,000 4,512,000 5,178,000 6,365,000 9,814,000 9,818,000 10,645,000 11,276,000 13,799,000 18,107,000 19,009,000 20,681,000 31,190,000 33,889,000 31,051,000 30,002,000 28,934,000             
          income taxes
                           11,913,000 2,445,000 4,241,000 15,618,000 15,000 170,000 6,500,000 8,200,000   1,000 22,000 501,000 3,900,000         78,000 1,000 7,000 36,925,000 1,068,000 1,000 1,531,000 -2,254,000 14,651,000 1,160,000 21,706,000 1,617,000             
          supplemental non-cash disclosures:
                                                                                 
          net change in common stock held by directors' deferred compensation plan
                                                   -35,000 16,000  6,000 16,000 18,000 19,000 23,000 20,000                 
          net reclassification of loans to foreclosed loans and other real estate
                                                                                 
          net transfer of portfolio loans to loans held for sale
                                                                                 
          net transfer of investment securities from available-for-sale to held-to-maturity at fair value
                                                                                 
          amortization of unrealized losses on investment securities transferred to held-to-maturity at fair value
                                                                                 
          other intangible assets and services provided in exchange for swell common stock
                                                                                 
          non-cash lease benefit
                      -1,678,000 635,000 702,000                                                         
          loss on disposal of fixed assets
                      137,000 1,000 1,000  1,000 5,000 32,000                                                     
          deferred income taxes
                      -2,147,000 -8,003,000 -26,297,000  5,651,000 -1,925,000 -6,687,000  -4,824,000 -1,723,000 -406,000  -953,000 3,488,000 5,013,000  4,853,000 3,728,000 3,620,000 12,222,000 6,336,000 6,963,000 6,685,000 5,637,000 6,392,000 6,331,000 6,067,000                                 
          proceeds from maturities of and calls on investment securities available-for-sale
                      62,090,000 28,758,000 59,471,000  60,483,000 89,370,000 80,015,000  113,912,000 72,842,000 50,878,000  72,745,000 78,788,000 43,093,000  36,107,000 38,362,000 40,039,000                                         
          proceeds from maturities of and calls on investment securities held-to-maturity
                      12,528,000                5,172,000 18,774,000 14,545,000                                         
          purchases of investment securities held-to-maturity
                                                                                 
          proceeds from sale of visa class b common stock
                                                                                
          net loan (originations) repayments
                      -35,285,000                                                           
          proceeds from bank-owned life insurance
                          1,608,000 499,000            319,000 1,211,000 928,000 782,000 223,000   551,000 23,000 1,423,000 158,000      843,000                 
          net (purchases) proceeds from redemption of fhlb stock
                      -4,603,000                     841,000 4,239,000  3,045,000 -4,798,000 -1,814,000                                 
          net increase in short-term borrowings
                            -22,000,000  206,000,000 -222,000,000 72,000,000  -16,000,000 42,000,000 -18,000,000  18,000,000 31,000,000 24,000,000  -21,000,000 -114,000,000 -15,000,000 -76,000,000 120,000,000 37,000,000            -10,378,000 -14,348,000 183,681,000 -195,976,000 352,375,000          8,710,000 32,912,000 4,618,000 9,344,000    
          net decrease in short-term borrowings
                                                   -34,000 -1,190,000 -161,000 -38,000 -201,057,000  -34,000 -366,000 -40,355,000                      
          net loan repayments
                        6,377,000  122,684,000                                                       
          redemption of mastercard class b common stock
                                                                                 
          proceeds from redemption of fhlb stock
                                                                                 
          net transfer of investment securities from held-to-maturity to available-for-sale
                                                                                 
          right-of-use lease assets obtained in exchange for lease liabilities
                                 892,000 55,887,000                                             
          non-cash lease (benefit) expense
                          -47,000 -6,000 -28,000                                                     
          loss on sale of other real estate, net of write-downs
                              6,000 64,000                                                 
          equity in earnings of unconsolidated subsidiaries
                          -112,000 -80,000 -107,000 -181,000 -104,000 -104,000 -26,000 -92,000 -86,000 -71,000 -8,000 -82,000 -71,000 -37,000 -43,000 -214,000 -176,000 -151,000 -61,000 -267,000 -182,000 -184,000 -90,000   -46,000 -157,000 -136,000 -38,000 -127,000 -140,000 -197,000 -102,000 -29,000 -146,000 -134,000 -205,000 -274,000 283,000                 
          distributions from unconsolidated subsidiaries
                          80,000 107,000 181,000 105,000 104,000 48,000 73,000 71,000 74,000 19,000 82,000             21,000 6,000 428,000 -1,000 523,000 2,000 10,000 4,000 710,000 9,000 11,000 9,000 553,000 620,000 50,000 527,000 -1,000 1,000 767,000 10,000 -7,000 533,000       
          proceeds from sale of foreclosed loans/other real estate owned
                                     6,000 40,000                                         
          contributions to unconsolidated subsidiaries
                          -93,000 -83,000 -2,736,000 -5,501,000 -742,000 -1,772,000 -422,000         -110,000     -5,000        91,000 -227,000 -680,000                    
          net proceeds from redemption (purchases) of fhlb stock
                                                                                 
          net proceeds from redemption of fhlb stock
                                                                                 
          cash paid during the period for:
                                                                                 
          supplemental disclosure of non-cash information:
                                                                                 
          net change in common stock held by directors’ deferred compensation plan
                              64,000           44,000    438,000 99,000                 11,000 11,000 11,000 12,000   3,000 3,000         
          benefit from credit losses
                            -821,000  14,652,000 10,640,000 9,329,000                                                 
          net loan originations
                            -138,572,000  -22,085,000 -483,530,000 -41,339,000             -86,100,000 -37,135,000 -69,933,000 -45,838,000               66,693,000 -151,089,000                 
          net proceeds from redemption of (purchases of) fhlb stock
                            82,000  -8,239,000                                                   
          loss on sale of premises and equipment
                                                                                 
          amortization of mortgage servicing rights and core deposit premium
                                                                                 
          write down of other real estate, net of gain on sale
                                       -6,000 256,000 -27,000 -3,000 -162,000 -29,000 -33,000 -189,000 1,616,000 1,449,000 -33,000 1,748,000 379,000 -2,133,000 534,000                          
          net tax benefits (expense) from share-based compensation
                                                                                 
          proceeds from sales of available-for-sale investment securities
                                                                                 
          loan (originations) and payments
                                                                                 
          proceeds from redemption (purchases) of fhlb stock
                                                                                 
          proceeds from sale of mastercard stock
                                  2,555,000                                             
          net return of capital from unconsolidated subsidiaries
                                  622,000  36,000 39,000 539,000  94,000 17,000 438,000  116,000 44,000 368,000                                 
          cash received during the period for:
                                                                                 
          net reclassification of loans to foreclosed loans/other real estate owned
                                      40,000                                         
          net transfer of loans to loans held for sale
                                                 1,197,000 290,000 12,414,000 -31,000   35,300,000 13,160,000 8,710,000 17,724,000 7,291,000 21,407,000                    
          net transfer of investment securities held-to-maturity to available-for-sale
                                                                                 
          net tax benefits from share-based compensation
                                -48,000 44,000 17,000 87,000 105,000 -41,000 19,000 94,000 72,000 -70,000 31,000 458,000 125,000                                     
          net (purchases of) proceeds from redemption of fhlb stock
                                -3,126,000  641,000 -1,679,000 500,000  -719,000 -1,239,000 -1,246,000                                         
          provision (credit) for loan and lease losses
                                   1,404,000 1,283,000 -1,386,000 -59,000 532,000 -211,000 -186,000 -126,000 -2,282,000 -80,000 -2,645,000 -743,000 -1,382,000 -747,000   -4,990,000 -11,215,000 -19,116,000 -8,784,000 -1,575,000                          
          benefit from loan and lease losses
                                                               26,750,000 34,272,000 1,000,000 2,600,000    525,000    917,000       
          amortization of core deposit premium and mortgage servicing rights
                                  655,000 601,000 471,000  1,188,000 1,105,000 1,126,000  1,145,000                                       
          net (gain) on sales of investment securities
                                                                                 
          net loan proceeds
                                  -93,078,000 -114,905,000 -6,851,000  -97,483,000 -46,395,000 -46,144,000  -46,120,000 -19,826,000 2,111,000                                     
          (gain) loss on sale of other real estate, net of write-downs
                                                                                 
          net transfer of investment securities held to maturity to available for sale
                                   149,042,000                                             
          noncash lease expense
                                    79,000                                             
          gain or loss on sale of other real estate, net of write-downs
                                    138,000                                             
          gain on sale of premises and equipment
                                                                               
          net income on sales of investment securities
                                                                                 
          proceeds from sale of premises and equipment
                                                            7,207,000                  
          cash received during the year for:
                                                                                 
          supplemental disclosure of non-cash investing and financing activities:
                                                                                 
          depreciation and amortization
                                       1,578,000 1,599,000  1,618,000 1,613,000 1,537,000 1,556,000 1,519,000 1,481,000 1,493,000 1,640,000 1,576,000 1,544,000 1,133,000 2,119,000 1,715,000 1,757,000 1,939,000 1,865,000 1,871,000 2,062,000 2,088,000 2,071,000 2,161,000 2,090,000 1,864,000 1,773,000 1,742,000               
          net amortization of investment securities
                                         2,714,000 3,134,000 2,860,000 2,966,000 3,619,000 3,525,000 3,083,000 2,718,000 4,460,000 3,774,000 3,530,000 3,817,000 2,493,000 1,704,000 1,433,000 1,239,000 562,000 189,000 812,000 805,000 761,000 906,000 674,000 462,000 295,000 564,000 521,000 775,000 674,000 787,000  1,391,000 991,000 780,000   437,000 1,781,000   
          net losses on sales of investment securities
                                                                                 
          net gain on sale of residential mortgage loans
                                                                                 
          increase in cash surrender value of bank-owned life insurance
                                               -1,369,000 -625,000   -2,009,000 -629,000 -866,000 348,000 -1,190,000 -709,000 -1,061,000 -1,754,000 -1,030,000 -1,054,000 -1,606,000 -1,508,000 -1,066,000 -1,870,000                 
          proceeds from sales of other real estate
                                                                                 
          supplemental cash flow information:
                                                                                 
          net reclassification of loans to other real estate
                                           791,000   1,011,000 1,418,000 544,000 8,838,000 29,745,000 1,906,000 6,575,000 22,966,000 17,510,000 9,424,000 17,364,000 9,815,000 8,149,000 4,222,000 5,539,000                  
          net income on investment securities
                                                              150,000                  
          net gain on sales of residential loans
                                          -705,000 -1,084,000 -1,312,000 -2,108,000 -2,212,000 -1,845,000 -1,466,000   -2,977,000 -3,670,000 -1,177,000 -1,005,000 -2,198,000 -3,155,000 -2,036,000 -1,332,000 -1,945,000 -1,974,000 -3,060,000 -4,539,000 -4,009,000                  
          proceeds from maturities of and calls on investment securities available for sale
                                          42,216,000 37,168,000 49,204,000 64,168,000 58,364,000 45,467,000 36,427,000 145,212,000 97,846,000 72,665,000 133,794,000 84,847,000 68,400,000 114,515,000 103,348,000 26,320,000 71,584,000 131,753,000 120,900,000 73,838,000 58,203,000 59,080,000 201,684,000 152,866,000 241,987,000 349,714,000 170,982,000 128,303,000 92,866,000 89,383,000 205,063,000 -29,157,000 420,092,000       
          proceeds from sales of investment securities available for sale
                                                127,381,000   132,656,000   -32,000 -1,000 439,436,000 42,533,000 36,431,000 5,106,000 2,135,000    107,426,000   127,000 18,886,000 2,089,000 100,549,000    15,186,000   
          purchases of investment securities available for sale
                                          -79,870,000 -145,860,000 -107,512,000 -82,586,000 -66,655,000 -6,000 -46,209,000   -232,633,000 -289,879,000 -149,433,000 -389,184,000 -488,616,000 -231,395,000 -205,128,000 -75,490,000 -98,068,000 -109,274,000 -24,853,000 -146,014,000 -245,902,000 -213,065,000                 
          proceeds from maturities of and calls on investment securities held to maturity
                                          6,740,000 6,646,000 6,069,000 8,654,000 9,046,000 7,143,000 6,146,000 248,000 215,000 226,000 316,000 325,000 360,000 880,000 463,000 426,000 493,000 461,000 615,000 1,485,000 677,000 1,162,000 19,187,000 3,258,000 12,386,000 1,641,000 1,640,000 1,947,000 1,098,000 5,490,000 1,472,000 19,430,000 2,396,000       
          purchases of investment securities held to maturity
                                                                                
          proceeds from sale of other real estate
                                          184,000 102,000  1,061,000 898,000 891,000 2,112,000 3,315,000 9,533,000  9,509,000 17,776,000 6,948,000  2,596,000 6,376,000 7,664,000  1,205,000 201,000                  
          net proceeds (purchases) from redemption of fhlb stock
                                                                                 
          amortization of mortgage servicing rights and other intangible assets
                                            1,188,000                                     
          net (gain) loss on sale of investment securities
                                                                                 
          net return of capital from (contributions to) unconsolidated subsidiaries
                                                                                 
          supplemental disclosure of noncash investing and financing activities:
                                                                                 
          amortization of other intangible assets
                                              1,690,000 2,423,000 2,178,000   1,761,000 2,148,000 1,709,000 1,629,000 1,547,000  2,215,000 1,581,000 1,408,000                      
          write down of assets
                                                 827,000 1,759,000 -31,000 3,090,000 1,565,000 520,000 166,000 774,000 3,624,000 904,000 435,000                  
          purchase of loan portfolio
                                                                                 
          net transfer of investment securities available for sale to held to maturity
                                                                                 
          see accompanying notes to consolidated financial statements.
                                                                                 
          amortization and impairment of other intangible assets
                                                 2,698,000           1,570,000 1,582,000 1,550,000 1,421,000                  
          net gain on investment securities
                                                                               
          net loan principal repayments
                                                   -21,703,000 -36,380,000 -46,783,000 20,222,000 82,376,000 93,894,000 34,382,000 147,894,000 71,082,000                      
          net reclassification of loans held for sale to other real estate
                                                                                 
          dividends accrued on preferred stock
                                                    969,000 1,808,000 1,784,000 1,762,000 1,742,000 1,731,000 1,687,000 -19,000 863,000                  
          accretion of preferred stock discount
                                                    204,000 335,000 335,000 334,000 332,000 331,000 331,000 331,000 329,000                  
          preferred stock and accrued unpaid dividends converted to common stock
                                                    142,988,000                          
          common stock issued in exchange for preferred stock and accrued unpaid dividends
                                                                                 
          goodwill impairment
                                                        102,689,000                     
          net loss on investment securities
                                                        -831,000 -244,000 169,000                    
          net change in trading securities
                                                        22,237,000 1,672,000                        
          other than temporary impairment on securities
                                                                               
          ineffective portion of derivative
                                                                                 
          decrease in income tax receivable
                                                      -47,000 -130,000 37,534,000 -780,000 862,000                      
          cash dividends paid on preferred stock
                                                            -1,687,000 -675,000                  
          net proceeds from issuance of preferred stock and warrants
                                                            38,000 36,000 72,000 134,257,000                  
          other
                                                        37,000 37,000 36,000 37,000     2,018,000                 
          cash and cash equivalents:
                                                                                 
          at beginning of year
                                                                  135,648,000               
          at end of year
                                                                  118,117,000               
          net transfer of investment securities available for sale to trading
                                                                               
          securitization of residential mortgage loans into available for sale mortgage backed securities
                                                            34,323,000 15,823,000                  
          common stock received in exchange for preferred stock and accrued unpaid dividends
                                                     56,201,000                          
          net loss
                                                        -2,085,000 -72,544,000    -183,141,000                    
          adjustments to reconcile net loss to net cash from operating activities:
                                                                                 
          provision for loan and lease losses
                                                        406,000 79,893,000 20,412,000 58,837,000 105,231,000 142,496,000                    
          net loss on sale of commercial real estate loans
                                                                                 
          tax benefits from share-based compensation
                                                                -40,000   246,000 11,000 56,000 608,000           
          loss on counterparty financing transaction
                                                                                 
          proceeds from sales of investment securities held to maturity
                                                                                 
          proceeds from sales of securitized residential mortgage loans
                                                                                 
          purchase of bank-owned life insurance
                                                                                 
          acquisition of businesses and non-controlling interests, net of cash acquired
                                                                                 
          net cash from (used in) investing activities
                                                                                 
          securitization of residential mortgage loans into trading mortgage backed securities
                                                                                 
          foreclosed asset expense
                                                         -1,017,000 403,000 5,532,000 699,000 5,523,000 2,294,000 135,000 2,590,000                 
          ineffective portion of derivatives
                                                             -1,258,000 -2,290,000 184,000                  
          proceeds from sales of trading securities
                                                                                 
          decrease (increase) in income tax receivable
                                                                                 
          purchases of loans and loan portfolios
                                                                                 
          net increase in cash & cash equivalents
                                                                           46,772,000 -2,981,000 7,003,000    
          loss on sale of commercial real estate loans
                                                                                 
          increase in income tax receivable
                                                             -13,314,000 -5,715,000 -5,328,000                  
          net principal repayments
                                                             91,854,000                    
          acquisition of businesses and minority interests
                                                                                 
          gain on sale of premises and equiptment
                                                               -3,612,000                  
          assets
                                                                                 
          cash and due from banks
                                                                84,462,000                 
          interest-bearing deposits in other banks
                                                                106,000                 
          federal funds sold
                                                                                 
          investment securities:
                                                                                 
          held to maturity, at amortized cost (fair value of 27,098 at
                                                                                 
          march 31, 2008 and 46,077 at december 31, 2007)
                                                                26,915,000                 
          available for sale, at fair value
                                                                852,655,000                 
          total investment securities
                                                                879,570,000                 
          loans held for sale
                                                                97,743,000                 
          loans and leases
                                                                4,176,596,000                 
          less allowance for loan and lease losses
                                                                72,108,000                 
          net loans and leases
                                                                4,104,488,000                 
          premises and equipment
                                                                83,504,000                 
          accrued interest receivable
                                                                25,541,000                 
          investment in unconsolidated subsidiaries
                                                                16,471,000                 
          other real estate
                                                                2,000,000                 
          goodwill
                                                                244,702,000                 
          core deposit premium
                                                                28,082,000                 
          mortgage servicing rights
                                                                11,536,000                 
          bank-owned life insurance
                                                                132,477,000                 
          federal home loan bank stock
                                                                48,797,000                 
          other assets
                                                                40,558,000                 
          total assets
                                                                5,800,037,000                 
          liabilities and shareholders' equity
                                                                                 
          deposits:
                                                                                 
          noninterest-bearing demand
                                                                632,157,000                 
          interest-bearing demand
                                                                457,742,000                 
          savings and money market
                                                                1,112,312,000                 
          time
                                                                1,577,810,000                 
          total deposits
                                                                3,780,021,000                 
          short-term borrowings
                                                                368,375,000                 
          long-term debt
                                                                915,514,000                 
          minority interest
                                                                13,098,000                 
          other liabilities
                                                                48,366,000                 
          total liabilities
                                                                5,125,374,000                 
          shareholders' equity:
                                                                                 
          preferred stock, no par value, authorized 1,000,000 shares, none issued
                                                                                 
          common stock, no par value, authorized 100,000,000 shares, issued
                                                                                 
          and outstanding 28,707,985 shares at march 31, 2008 and
                                                                                 
          28,756,647 shares at december 31, 2007
                                                                402,844,000                 
          surplus
                                                                54,487,000                 
          retained earnings
                                                                216,755,000                 
          accumulated other comprehensive income
                                                                577,000                 
          total shareholders' equity
                                                                674,663,000                 
          total liabilities and shareholders' equity
                                                                5,800,037,000                 
          central pacific financial corp. and subsidiaries
                                                                                 
          consolidated statements of income
                                                                                 
          interest income:
                                                                                 
          interest and fees on loans and leases
                                                                70,294,000                 
          interest and dividends on investment securities:
                                                                                 
          taxable interest
                                                                9,271,000                 
          tax-exempt interest
                                                                1,389,000                 
          dividends
                                                                24,000                 
          interest on deposits in other banks
                                                                4,000                 
          interest on federal funds sold and securities purchased under agreements to resell
                                                                21,000                 
          dividends on federal home loan bank stock
                                                                122,000                 
          total interest income
                                                                81,125,000                 
          interest expense:
                                                                                 
          interest on deposits:
                                                                                 
          demand
                                                                137,000                 
          interest on short-term borrowings
                                                                1,923,000                 
          interest on long-term debt
                                                                9,694,000                 
          total interest expense
                                                                30,268,000                 
          net interest income
                                                                50,857,000                 
          net interest income after benefit from loan and lease losses
                                                                16,585,000                 
          other operating income:
                                                                                 
          service charges on deposit accounts
                                                                3,543,000                 
          other service charges and fees
                                                                3,415,000                 
          income from fiduciary activities
                                                                1,005,000                 
          fees on foreign exchange
                                                                194,000                 
          loan placement fees
                                                                153,000                 
          gains on sales of loans
                                                                1,798,000                 
          income from bank-owned life insurance
                                                                1,870,000                 
          total other operating income
                                                                14,279,000                 
          other operating expense:
                                                                                 
          salaries and employee benefits
                                                                17,364,000                 
          net occupancy
                                                                2,853,000                 
          equipment
                                                                1,395,000                 
          amortization of core deposit premium
                                                                668,000          1,300,000       
          communication expense
                                                                1,085,000                 
          legal and professional services
                                                                2,413,000                 
          computer software expense
                                                                863,000                 
          advertising expense
                                                                682,000                 
          total other operating expense
                                                                31,460,000                 
          income before income taxes
                                                                -596,000                 
          per share data:
                                                                                 
          basic earnings per share
                                                                60                 
          diluted earnings per share
                                                                60                 
          cash dividends declared
                                                                250                 
          shares used in computation:
                                                                                 
          basic shares
                                                                28,686,000                 
          diluted shares
                                                                28,801,000                 
          consolidated statements of cash flows
                                                                                 
          amortization of intangible assets
                                                                1,169,000 1,185,000 1,195,000 1,501,000 1,521,000 1,478,000 1,620,000 2,569,000 2,168,000         
          net gain on sale of loans
                                                                -1,798,000                 
          cash dividends paid
                                                                -7,190,000                 
          proceeds from issuance of common stock
                                                                194,000                 
          proceeds from stock option exercises
                                                                 188,000 1,079,000 711,000 2,469,000 107,000 371,000           
          reclassification of loans to other real estate
                                                                2,000,000                
          transfer of loans to loans held for sale
                                                                60,080,000                 
          deferred income tax (benefit) expense
                                                                                 
          commercial, financial and agricultural
                                                                                 
          real estate:
                                                                                 
          construction
                                                                                 
          mortgage-residential
                                                                                 
          mortgage-commercial
                                                                                 
          consumer
                                                                                 
          leases
                                                                                 
          unearned income
                                                                                 
          total loans and leases
                                                                                 
          balance, beginning of period
                                                                                 
          charge-offs
                                                                                 
          recoveries
                                                                                 
          net charge-offs
                                                                                 
          balance, end of period
                                                                                 
          additions
                                                                                 
          reductions
                                                                                 
          amortization
                                                                                 
          2007
                                                                                 
          2008
                                                                                 
          2009
                                                                                 
          2010
                                                                                 
          2011
                                                                                 
          2012
                                                                                 
          thereafter
                                                                                 
          fair market value at january 1, 2007
                                                                                 
          fair market value at september 30, 2007
                                                                                 
          weighted-average discount rate
                                                                                 
          weighted-average prepayment speed assumption
                                                                                 
          lease termination fees
                                                                                 
          asset write-offs
                                                                                 
          contract termination fees
                                                                                 
          total
                                                                                 
          income tax benefit
                                                                                 
          net share-based compensation effect
                                                                                 
          outstanding at january 1, 2007
                                                                                 
          changes during the period:
                                                                                 
          granted
                                                                                 
          exercised
                                                                                 
          expired
                                                                                 
          forfeited
                                                                                 
          outstanding at september 30, 2007
                                                                                 
          expected volatility
                                                                                 
          risk free interest rate
                                                                                 
          expected dividends
                                                                                 
          expected life
                                                                                 
          weighted-average fair value
                                                                                 
          nonvested at january 1, 2007
                                                                                 
          vested
                                                                                 
          nonvested at september 30, 2007
                                                                                 
          unrealized holding losses on available-for-sale investment securities
                                                                                 
          pension liability adjustments
                                                                                 
          tax benefit
                                                                                 
          accumulated other comprehensive loss, net of tax
                                                                                 
          unrealized gain on investment securities, net of taxes
                                                                                 
          pension adjustments, net of taxes
                                                                                 
          comprehensive income
                                                                                 
          interest cost
                                                                                 
          expected return on assets
                                                                                 
          amortization of unrecognized loss
                                                                                 
          net periodic cost
                                                                                 
          service cost
                                                                                 
          amortization of unrecognized transition obligation
                                                                                 
          amortization of prior service cost
                                                                                 
          amortization of unrecognized (gain) loss
                                                                                 
          weighted-average shares outstanding - basic
                                                                                 
          dilutive effect of employee stock options and awards
                                                                                 
          weighted-average shares outstanding - diluted
                                                                                 
          three months ended september 30, 2007:
                                                                                 
          intersegment net interest income
                                                                                 
          benefit from loan losses
                                                                    300,000    1,000,000   533,000 300,000 300,000 500,000   
          other operating income
                                                                                 
          other operating expense
                                                                                 
          administrative and overhead expense allocation
                                                                                 
          three months ended september 30, 2006:
                                                                                 
          nine months ended september 30, 2007:
                                                                                 
          nine months ended september 30, 2006:
                                                                                 
          at september 30, 2007:
                                                                                 
          investment securities
                                                                                 
          at december 31, 2006:
                                                                                 
          return on average assets
                                                                                 
          return on average shareholders' equity
                                                                                 
          return on average tangible equity
                                                                                 
          interest earning assets:
                                                                                 
          federal funds sold & securities purchased
                                                                                 
          under agreements to resell
                                                                                 
          taxable investment securities
                                                                                 
          tax-exempt investment securities
                                                                                 
          loans and leases, net of unearned income
                                                                                 
          total interest earning assets
                                                                                 
          nonearning assets
                                                                                 
          interest-bearing liabilities:
                                                                                 
          interest-bearing demand deposits
                                                                                 
          savings and money market deposits
                                                                                 
          time deposits under 100,000
                                                                                 
          time deposits 100,000 and over
                                                                                 
          total interest-bearing liabilities
                                                                                 
          noninterest-bearing deposits
                                                                                 
          shareholders' equity
                                                                                 
          net interest margin
                                                                                 
          at amortized cost.
                                                                                 
          includes nonaccrual loans.
                                                                                 
          nonperforming assets
                                                                                 
          nonaccrual loans:
                                                                                 
          total nonperforming assets
                                                                                 
          accruing loans delinquent for 90 days or more:
                                                                                 
          total accruing loans delinquent for 90 days or more
                                                                                 
          restructured loans still accruing interest:
                                                                                 
          total restructured loans still accruing interest
                                                                                 
          total nonperforming assets, accruing loans delinquent for 90
                                                                                 
          days or more and restructured loans still accruing interest
                                                                                 
          total nonperforming assets as a percentage of loans and other real estate
                                                                                 
          total nonperforming assets and accruing loans delinquent for 90
                                                                                 
          days or more as a percentage of loans and other real estate
                                                                                 
          days or more and restructured loans still accruing interest as a
                                                                                 
          percentage of loans and other real estate
                                                                                 
          allowance for loan and lease losses:
                                                                                 
          balance at beginning of period
                                                                                 
          charge-offs:
                                                                                 
          total charge-offs
                                                                                 
          recoveries:
                                                                                 
          total recoveries
                                                                                 
          balance at end of period
                                                                                 
          annualized ratio of net charge-offs to average loans
                                                                                 
          company
                                                                                 
          leverage capital
                                                                                 
          tier 1 risk-based capital
                                                                                 
          total risk-based capital
                                                                                 
          central pacific bank
                                                                                 
          ·
                                                                                 
          period
                                                                                 
          july 1, 2007 through july 31, 2007
                                                                                 
          august 1, 2007 through august 31, 2007
                                                                                 
          september 1, 2007 through september 30, 2007
                                                                                 
          exhibit no.
                                                                                 
          3.1
                                                                                 
          3.2
                                                                                 
          4.1
                                                                                 
          10.1
                                                                                 
          10.2
                                                                                 
          10.3
                                                                                 
          10.4
                                                                                 
          10.5
                                                                                 
          10.6
                                                                                 
          10.7
                                                                                 
          10.8
                                                                                 
          10.9
                                                                                 
          10.10
                                                                                 
          10.11
                                                                                 
          10.12
                                                                                 
          10.13
                                                                                 
          10.14
                                                                                 
          10.15
                                                                                 
          10.16
                                                                                 
          10.17
                                                                                 
          10.18
                                                                                 
          10.19
                                                                                 
          10.20
                                                                                 
          10.21
                                                                                 
          10.22
                                                                                 
          14.1
                                                                                 
          14.2
                                                                                 
          31.1
                                                                                 
          31.2
                                                                                 
          32.1
                                                                                 
          32.2
                                                                                 
          5)
                                                                                 
          denotes management contract or compensation plan or arrangement.
                                                                                 
          central pacific financial corp.
                                                                                 
          date: november 9, 2007
                                                                                 
          clint arnoldus
                                                                                 
          president and chief executive officer
                                                                                 
          dean k. hirata
                                                                                 
          vice chairman and
                                                                                 
          chief financial officer
                                                                                 
          net (gain) loss on sale of loans
                                                                                 
          net amortization of deferred stock awards
                                                                        20,000   8,000 24,000 3,000    
          net gain on investment securities available for sale
                                                                                 
          net increase in other assets and liabilities
                                                                                 
          acquisition of hawaii homeloans, inc., net of cash acquired
                                                                                 
          merger with cb bancshares, inc., net of cash acquired
                                                                                 
          proceeds from common stock offering
                                                                                 
          benefit from depreciation and amortization
                                                                    1,740,000 1,838,000 1,572,000 591,000 2,197,000 1,882,000 1,707,000       
          net change in other assets and other liabilities
                                                                                 
          acquisition of hawaii homeloans, inc., net of cash and cash equivalents acquired
                                                                                 
          at beginning of period
                                                                    164,740,000  163,447,000 63,851,000 62,273,000 
          at end of period
                                                                    17,280,000 -18,443,000 121,189,000  7,800,000 -183,000 119,577,000 46,772,000 -2,981,000 70,854,000 -1,680,000 11,302,000 53,533,000 
          adjustments to reconcile net income to net cash
                                                                                 
          provided by operating activities:
                                                                                 
          supplemental disclosure of noncash investing and
                                                                                 
          financing activities:
                                                                                 
          cash flows from operating activities
                                                                                 
          net increase in other assets
                                                                                 
          net decrease in other liabilities
                                                                             5,025,000    
          proceeds from issuance of long-term debt
                                                                      50,000,000           
          cash paid during the period for interest
                                                                      21,804,000  16,463,000 10,267,000 16,446,000 11,859,000 113,000 5,103,000 4,853,000 5,698,000 5,372,000 
          cash paid during the period for income taxes
                                                                      8,655,000  20,760,000 1,400,000 3,284,000 5,710,000 6,910,000 2,210,000 3,120,000 4,320,000 1,697,000 
          net change in common stock held by directors’ deferred
                                                                                 
          compensation plan
                                                                      3,000           
          deferred stock awards granted
                                                                      2,247,000 351,000         
          amortization of deferred stock awards
                                                                               6,000 6,000 
          amortization of premiums and discounts on investment securities
                                                                                 
          originations & purchases of loans held for sale
                                                                                 
          net cash used by investing activities
                                                                                 
          cash paid during the year for interest
                                                                                 
          cash paid during the year for income taxes
                                                                                 
          net increase in other liabilities
                                                                                339,000 
          merger with cb bancshares, inc., net of cash and cash equivalents acquired
                                                                                 
          proceeds from sale of common stock
                                                                        522,000 270,000 66,520,000 289,000 103,000 318,000 157,000 223,000 330,000 
          supplemental disclosure of noncash investing & financing activities:
                                                                                 
          federal home loan bank dividends received
                                                                                 
          benefit from depreciation & amortization
                                                                           1,146,000 982,000 955,000 964,000 1,040,000 1,022,000 
          proceeds from maturities of & calls on investment securities held to maturity
                                                                           2,042,000   3,238,000 8,790,000 1,358,000 
          proceeds from maturities of & calls on investment securities available for sale
                                                                           113,178,000   276,067,000 215,524,000 209,792,000 
          net increase in interest-bearing deposits in other banks
                                                                               3,952,000 16,115,000 
          net increase in fed funds sold
                                                                                 
          purchases of premises & equipment
                                                                                 
          distributions from (contributions to) unconsolidated subsidiaries
                                                                                 
          cash consideration paid in conjunction with merger with cb bancshares, inc., net of cash acquired
                                                                                 
          net premium amortization of investment securities
                                                                                 
          net decrease (increase) in other assets
                                                                                 
          proceeds from maturities of & calls on
                                                                                 
          investment securities held to maturity
                                                                             665,000    
          investment securities available for sale
                                                                             108,415,000    
          purchases of investment securities
                                                                                 
          available for sale
                                                                                 
          net decrease in interest-bearing deposits
                                                                                 
          in other banks
                                                                             2,500,000    
          net decrease in fed funds sold
                                                                             2,000,000    
          net cash provided (used) by financing activities
                                                                             99,854,000    
          net income on disposal of premises & equipment
                                                                                 
          net decrease in interest-bearing deposits in other banks
                                                                                 
          deferred income expense
                                                                                 
          net decrease in cash & cash equivalents
                                                                                 
          net amortization (accretion) of investment securities
                                                                                1,347,000