7Baggers

East West Bancorp Quarterly Balance Sheets Chart

Quarterly
 | 
Annual
 
 Goodwill  
 Cash and Cash Eq  
20200930 20201231 20210331 20210630 20210930 20211231 20220331 20220630 20220930 20221231 20230331 20230630 20230930 20231231 20240331 20240630 20240930 20241231 20250331 20250630 00.911.822.733.644.565.476.38Billion

East West Bancorp Quarterly Balance Sheets Table

Quarterly
 | 
Annual
 
Unit: USD2025-06-30 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 2015-12-31 2015-09-30 2015-06-30 2015-03-31 2014-12-31 2014-09-30 2014-03-31 2013-12-31 2013-06-30 2013-03-31 2012-12-31 2012-09-30 2012-06-30 2012-03-31 2011-06-30 2011-03-31 2010-12-31 2010-09-30 2010-06-30 2010-03-31 2009-09-30 2009-06-30 2009-03-31 2008-09-30 2008-06-30 2008-03-31 2007-12-31 2007-09-30 2007-06-30 2007-03-31 2006-12-31 2006-09-30 2006-06-30 2005-12-31 2005-09-30 2005-06-30 2004-09-30 2004-06-30 2004-03-31 
                                                                               
  assets                                                                             
  cash and due from banks712,157,000 394,574,000 360,734,000 362,167,000 460,611,000 382,484,000 444,793,000 495,976,000 614,053,000 760,317,000 534,980,000 554,260,000 688,936,000 571,571,000 527,317,000 594,631,000 626,716,000 582,270,000  503,376,000 602,974,000 427,415,000  475,291,000 425,949,000 462,254,000 516,291,000 408,049,000 415,653,000 413,017,000 457,181,000 364,328,000 429,121,000 346,005,000 460,559,000                     668,277,000 603,907,000 324,655,000 132,569,000              110,124,000     
  interest-bearing cash with banks3,697,784,000 3,053,710,000 4,890,008,000 4,497,906,000 3,905,080,000 3,828,317,000 4,170,191,000 4,065,202,000 5,763,834,000 5,173,877,000 2,946,804,000 1,609,093,000 1,213,117,000 3,277,129,000 3,385,618,000 4,258,270,000 5,371,089,000 4,036,863,000  4,003,565,000 3,930,528,000 2,652,627,000  2,566,990,000 3,195,665,000 3,323,071,000 2,485,086,000 1,810,738,000 1,881,818,000 1,901,921,000 1,717,411,000 1,372,421,000 2,323,355,000 2,088,638,000 1,417,944,000                                           
  cash and cash equivalents4,409,941,000 3,448,284,000 5,250,742,000 4,860,073,000 4,365,691,000 4,210,801,000 4,614,984,000 4,561,178,000 6,377,887,000 5,934,194,000 3,481,784,000 2,163,353,000 1,902,053,000 3,848,700,000 3,912,935,000 4,852,901,000 5,997,805,000 4,619,133,000 4,017,971,000 4,506,941,000 4,533,502,000 3,080,042,000 3,261,149,000 3,042,281,000 3,621,614,000 3,785,325,000 3,001,377,000 2,218,787,000 2,297,471,000 2,314,938,000 2,174,592,000 1,736,749,000 2,752,476,000 2,434,643,000 1,878,503,000 1,666,832,000 1,592,796,000 2,265,297,000 1,360,887,000 1,875,703,000 1,877,914,000 1,886,199,000 1,039,885,000 1,115,753,000 1,884,855,000 895,820,000 1,050,214,000 1,736,865,000 1,323,106,000 1,816,372,000 2,429,614,000 1,635,854,000 1,598,498,000 1,492,922,000 1,333,949,000     573,114,000 541,066,000 527,474,000 424,058,000 265,019,000  167,282,000 190,538,000 146,977,000 192,559,000 172,357,000 137,309,000    110,631,000 161,742,000 382,425,000 
  interest-bearing deposits with banks104,535,000 32,788,000 48,198,000 116,101,000 24,530,000 24,593,000 10,498,000 17,213,000 17,169,000 10,249,000 139,021,000 630,543,000 712,709,000 816,125,000 736,492,000 855,162,000 830,279,000 741,923,000 809,728,000 699,465,000 531,591,000 293,509,000 196,161,000 160,423,000 150,273,000 134,000,000 371,000,000 400,900,000 360,900,000 478,871,000 398,422,000 404,946,000 296,679,000 249,849,000 323,148,000                                           
  securities purchased under resale agreements425,000,000 425,000,000 425,000,000 425,000,000 485,000,000 485,000,000              1,210,000,000 1,260,000,000 860,000,000  860,000,000 1,010,000,000 1,035,000,000 1,035,000,000 1,035,000,000 975,000,000 1,050,000,000 1,050,000,000 1,250,000,000 1,300,000,000 1,650,000,000 2,000,000,000 1,500,000,000 1,850,000,000 1,800,000,000 1,600,000,000 1,400,000,000 1,100,000,000 1,550,000,000 1,225,000,000 1,475,000,000 1,200,000,000 1,300,000,000 1,450,000,000 1,400,000,000 1,450,000,000 1,100,000,000 675,000,000 650,000,000 812,281,000 768,369,000 500,000,000 64,813,624,101,460 45,574,326,302,310 25,931,962,639,660 75,000,000 75,000,000 50,000,000 50,000,000 50,000,000 50,000,000  150,000,000 200,000,000 200,000,000 100,000,000 100,000,000 100,000,000  125,002,247,110     
  debt securities:                                                                             
  available-for-sale12,488,913,000 12,384,912,000 10,846,811,000 10,133,877,000 8,923,528,000 8,400,468,000 6,188,337,000 6,039,837,000 5,987,258,000 6,300,868,000 6,034,993,000 5,906,090,000 6,255,504,000 6,729,431,000 9,965,353,000 9,713,006,000 8,399,460,000 7,789,213,000  4,539,160,000 3,884,574,000 3,695,943,000                                                        
  held-to-maturity2,892,982,000 2,905,341,000 2,917,413,000 2,928,399,000 2,938,250,000 2,948,642,000 2,956,040,000 2,964,235,000 2,975,933,000 2,993,421,000 3,001,868,000 3,012,667,000 3,028,302,000 2,997,702,000                                                                
  loans held-for-sale11,873,000    18,909,000 13,280,000 116,000 4,762,000 2,830,000 6,861,000 25,644,000 14,500,000 28,464,000 631,000 635,000  1,819,000  1,788,000 4,148,000 3,875,000 1,594,000 434,000 294,000 3,879,000  275,000 3,114,000 14,658,000 46,181,000 85,000 178,000 11,649,000 28,931,000 23,076,000 47,719,000                                          
  loans held-for-investment54,200,768,000 53,517,878,000 53,024,585,000 52,556,696,000 52,084,115,000 51,322,224,000 51,542,039,000 50,251,661,000 49,192,964,000 48,298,155,000 47,606,785,000 46,859,738,000 45,938,806,000 42,944,997,000 41,152,202,000 39,921,301,000 39,485,775,000 38,981,242,000 37,770,972,000 36,818,877,000 36,597,341,000 35,336,390,000 34,420,252,000 33,679,400,000 33,399,752,000 32,545,392,000 32,073,867,000 30,900,144,000 29,928,829,000 29,257,594,000 28,688,590,000 28,239,431,000 26,934,350,000 26,198,198,000 25,242,619,000 24,476,150,000 23,969,599,000 23,494,126,000 23,378,789,000 22,381,302,000 21,697,435,000                                     
  affordable housing partnership, tax credit and community reinvestment act (“cra”) investments968,389,000 930,058,000 926,640,000 924,439,000 956,428,000 933,187,000                                                                        
  premises and equipment81,264,000 81,975,000 82,233,000 80,698,000 81,675,000 83,989,000 86,370,000 87,888,000 88,966,000 90,212,000 89,191,000 91,587,000 93,911,000 95,898,000 97,302,000 96,956,000 99,290,000 102,120,000 103,251,000 107,506,000 110,709,000 115,393,000 118,364,000 120,859,000 121,498,000 124,300,000 119,180,000 120,265,000 122,072,000 119,733,000 121,209,000 131,311,000 128,282,000 128,002,000 159,923,000 162,482,000 163,423,000 165,234,000 166,993,000 169,771,000 173,333,000 176,438,000 180,900,000 181,999,000 185,214,000 177,710,000 111,762,000 109,485,000 107,517,000 114,627,000 115,560,000 116,266,000 116,746,000 133,794,000 135,919,000    55,011,000 56,775,000 58,479,000 61,674,000 62,402,000 64,302,000  66,205,000 44,234,000 45,733,000 43,922,000 43,647,000 43,671,000    24,480,000 25,797,000 25,274,000 
  operating lease right-of-use assets80,523,000 80,239,000 81,967,000 82,775,000 81,941,000 87,535,000 94,024,000 97,782,000 100,500,000 103,114,000 103,681,000 105,411,000 107,588,000 102,491,000 98,632,000 99,785,000 102,609,000 94,483,000 95,460,000 96,092,000 94,898,000 101,381,000 99,973,000 103,894,000 109,032,000 104,289,000                                                    
  goodwill465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,697,000 465,547,000 465,547,000 465,547,000 465,547,000 469,433,000 469,433,000 469,433,000 469,433,000 469,433,000 469,433,000 469,433,000 469,433,000 469,433,000 469,433,000 469,433,000 469,433,000 469,433,000 458,467,000 458,467,000 337,438,000 337,438,000 337,438,000 337,438,000 337,438,000 337,438,000 337,438,000 337,438,000 337,438,000 337,438,000    337,438,000 337,438,000 337,438,000 337,331,000 337,574,000 337,576,000  334,867,000 244,263,000 244,263,000 244,259,000 244,176,000 244,351,000    43,274,000 28,657,000  
  other assets2,028,182,000 1,892,841,000 1,907,189,000 1,909,965,000 2,042,508,000 1,900,254,000 1,964,743,000 2,112,646,000 1,873,006,000 1,646,485,000 1,608,038,000 1,708,235,000 1,804,151,000 1,674,977,000 1,382,253,000 1,616,165,000 1,444,408,000 1,190,747,000 1,324,262,000 1,396,994,000 1,393,237,000 1,452,868,000 917,095,000 1,077,840,000 930,754,000 767,621,000 743,686,000 798,819,000 732,358,000 668,334,000 678,952,000 663,718,000 649,211,000 661,532,000 782,420,000 988,451,000 973,121,000 955,128,000 992,040,000 1,020,632,000 1,018,358,000 1,046,718,000 1,001,770,000 768,707,000 529,517,000 533,759,000 471,350,000 496,065,000 517,718,000 794,059,000 850,838,000 807,174,000 600,363,000 609,125,000 281,084,000 1,989,941,000 2,012,470,000 2,386,611,000               297,079,000     
  total78,158,067,000 76,165,013,000 75,976,475,000 74,483,720,000 72,468,272,000 70,875,670,000 69,612,884,000 68,289,458,000 68,532,681,000 67,244,898,000 64,112,150,000 62,576,061,000 62,394,283,000 62,241,456,000 60,870,701,000 60,959,110,000 59,854,876,000 56,874,146,000 52,156,913,000 50,371,477,000 49,407,593,000 45,948,545,000 44,196,096,000 43,274,659,000 42,892,358,000 42,091,433,000 41,042,356,000 39,073,106,000 38,072,954,000 37,693,158,000 37,150,249,000 36,307,966,000 35,917,617,000 35,342,126,000 34,788,840,000 33,255,275,000 32,952,212,000 33,109,169,000 32,350,922,000 31,119,676,000 30,064,072,000 29,906,835,000 28,738,049,000 28,481,130,000 27,401,026,000 24,730,068,000 23,308,406,000 23,101,955,000 22,536,110,000 21,813,165,000 21,525,734,000 21,749,782,000 21,872,708,000 21,147,026,000 20,700,537,000    12,485,930,000 12,719,515,000 12,564,524,000 11,722,316,000 11,784,900,000 11,760,210,000  11,640,163,000 10,829,357,000 10,655,232,000 10,823,711,000 10,812,302,000 10,018,291,000    5,567,847,000 4,908,579,000 4,622,860,000 
  liabilities                                                                             
  deposits:                                                                             
  noninterest-bearing15,470,239,000 15,169,775,000 15,450,428,000 14,690,864,000 14,922,741,000 14,798,927,000 15,539,872,000 16,169,072,000 16,741,099,000 18,327,320,000 21,051,090,000 21,645,394,000 23,028,831,000 24,927,768,000 22,845,464,000 23,175,471,000 21,816,721,000 18,919,298,000 16,298,301,000 14,924,917,000 13,940,420,000 11,833,397,000 11,080,036,000 10,806,937,000 10,599,088,000 10,011,533,000 11,377,009,000 10,794,370,000 10,739,333,000 11,763,936,000 10,887,306,000 10,992,674,000 10,460,230,000 10,658,946,000 10,183,946,000 9,524,021,000 9,487,180,000 9,461,568,000 8,656,805,000 8,374,192,000 7,705,335,000 8,120,644,000 7,381,030,000 7,270,385,000 6,636,874,000 5,821,899,000 5,128,894,000 4,838,523,000 4,535,877,000 4,118,502,000 3,828,116,000 3,690,131,000 3,151,660,000 2,951,793,000 2,676,466,000    1,397,217,000 1,326,952,000 1,297,151,000 1,393,480,000 1,419,183,000 1,454,383,000  1,372,694,000 1,306,391,000 1,316,176,000 1,353,734,000 1,353,195,000 1,400,048,000    1,135,476,000 1,072,008,000 1,060,048,000 
  interest-bearing49,559,254,000 47,882,330,000 47,724,595,000 47,009,251,000 45,077,044,000 43,761,697,000 40,552,566,000 38,917,959,000 38,917,687,000 36,410,082,000 34,916,759,000 32,211,968,000 31,314,523,000 30,010,593,000 30,505,068,000 30,180,719,000 30,765,854,000 30,627,838,000 28,564,451,000 26,755,638,000 26,732,258,000 26,853,561,000 26,244,223,000 25,852,589,000 25,878,454,000 26,262,439,000 24,062,619,000 22,834,754,000 22,036,799,000 20,844,841,000 20,727,757,000 20,318,988,000 20,694,057,000 19,884,029,000 19,707,037,000 19,068,420,000 18,730,063,000 19,134,679,000 18,819,176,000 18,384,858,000 17,822,885,000 17,042,189,000 16,627,744,000 16,541,879,000 16,191,183,000 14,591,019,000 14,153,313,000 14,097,179,000 13,773,477,000 13,547,925,000 13,513,756,000 13,648,438,000 13,984,093,000 13,484,805,000 12,964,793,000    7,271,340,000 7,331,866,000 7,156,908,000 6,142,869,000 6,099,819,000 6,097,454,000  6,105,581,000 5,840,661,000 6,004,093,000 5,881,308,000 5,746,481,000 5,726,946,000    3,177,978,000 2,750,401,000 2,585,146,000 
  total deposits65,029,493,000 63,052,105,000 63,175,023,000 61,700,115,000 59,999,785,000 58,560,624,000 56,092,438,000 55,087,031,000 55,658,786,000 54,737,402,000 55,967,849,000 53,857,362,000 54,343,354,000 54,938,361,000 53,350,532,000 53,356,190,000 52,582,575,000 49,547,136,000 44,862,752,000 41,680,555,000 40,672,678,000 38,686,958,000 37,324,259,000 36,659,526,000 36,477,542,000 36,273,972,000 35,439,628,000 33,629,124,000 32,776,132,000 32,608,777,000 31,615,063,000 31,311,662,000 31,154,287,000 30,542,975,000 29,890,983,000 28,592,441,000 28,217,243,000 28,596,247,000 27,475,981,000 26,759,050,000 25,528,220,000 25,162,833,000 24,008,774,000 23,812,264,000 22,828,057,000 20,412,918,000 19,282,207,000 18,935,702,000 18,309,354,000 17,666,427,000 17,341,872,000 17,338,569,000 17,135,753,000 16,436,598,000 15,641,259,000         7,551,837,000  7,478,275,000 7,147,052,000 7,320,269,000 7,235,042,000 7,099,676,000 7,126,994,000    4,313,454,000 3,822,409,000 3,645,194,000 
  federal home loan bank (“fhlb”) advances3,500,000,000 3,500,000,000 3,500,000,000 3,500,000,000 3,500,000,000 3,500,000,000 6,430,000   6,430,000  324,920,000 174,776,000 74,619,000 249,331,000 248,898,000 248,464,000 653,035,000  657,185,000 656,759,000 646,336,000  745,494,000 745,074,000 344,657,000 326,172,000 325,596,000 325,020,000 324,451,000 323,891,000 323,323,000 322,756,000 322,196,000                                            
  long-term debt and finance lease liabilities35,789,000 35,880,000 35,974,000 36,055,000 36,141,000 36,428,000 153,011,000 153,087,000 152,951,000 152,467,000 152,400,000 152,610,000 152,663,000 152,227,000 151,997,000 151,795,000 151,997,000 152,195,000 151,739,000 1,579,317,000 1,580,442,000 152,162,000 152,270,000 152,390,000 152,506,000 152,433,000                                                    
  operating lease liabilities86,987,000 87,157,000 89,263,000 90,369,000 89,644,000 95,643,000 102,353,000 107,695,000 110,383,000 112,676,000 111,931,000 113,477,000 115,387,000 109,656,000 105,534,000 107,107,000 110,105,000 101,828,000 102,830,000 103,673,000 102,708,000 109,356,000 108,083,000 112,142,000 117,448,000 112,843,000                                                    
  accrued expenses and other liabilities1,304,031,000 1,290,295,000 1,453,161,000 1,492,642,000 1,627,588,000 1,640,570,000 1,814,248,000 1,844,939,000 1,648,864,000 1,433,022,000 1,595,358,000 1,655,239,000 1,386,836,000 963,137,000 876,089,000 1,104,919,000 914,187,000 834,925,000 796,796,000 816,965,000 854,912,000 933,824,000 619,283,000 624,754,000 595,223,000 526,048,000 598,109,000 610,355,000 587,291,000 534,258,000 542,656,000 639,759,000 519,437,000 487,590,000 552,096,000 535,439,000 691,830,000 564,973,000 526,483,000 606,469,000 593,347,000 571,557,000 444,512,000 458,606,000 364,731,000 394,729,000 300,475,000 354,800,000 350,869,000 302,867,000 286,920,000 346,139,000 371,470,000 295,369,000 277,602,000                    42,805,000 34,890,000 39,981,000 
  total liabilities69,956,300,000 68,235,548,000 68,253,421,000 66,819,181,000 65,253,158,000 63,852,438,000 62,662,050,000 61,692,752,000 62,070,984,000 60,935,567,000 58,127,538,000 56,915,393,000 56,784,801,000 56,538,000,000 55,033,483,000 55,268,909,000 54,307,328,000 51,589,119,000 46,887,738,000 45,245,371,000 44,420,350,000 41,045,560,000 39,178,479,000 38,391,995,000 38,157,765,000 37,499,503,000 36,618,382,000 34,828,256,000 33,958,670,000 33,714,403,000 33,308,298,000 32,526,070,000 32,247,356,000 31,776,172,000 31,361,099,000 29,877,221,000 29,655,302,000 29,892,388,000 29,227,972,000 28,048,561,000 27,059,124,000 26,968,072,000 25,887,481,000 25,713,037,000 24,776,806,000 22,365,843,000 21,050,455,000 20,758,836,000 20,153,988,000 19,494,956,000 19,230,794,000 19,466,485,000 19,643,376,000 18,989,109,000 18,586,606,000    10,964,148,000 11,242,747,000 11,029,331,000 10,457,435,000 10,512,700,000 10,656,426,000  10,473,608,000 9,774,186,000 9,617,034,000 9,804,321,000 9,830,932,000 9,080,549,000    5,075,202,000 4,485,660,000 4,215,737,000 
  commitments and contingencies                                                                             
  stockholders’ equity                  5,269,175,000    5,017,617,000                                                       
  common stock170,000 170,000 170,000 170,000 170,000 170,000 169,000 169,000 169,000 169,000 168,000 168,000 168,000 168,000 168,000 168,000 168,000 168,000  167,000 167,000 167,000  166,000 166,000 166,000 166,000 166,000 166,000 166,000 165,000 165,000 165,000 164,000 164,000 164,000 164,000 164,000 164,000 164,000 164,000 164,000 164,000 163,000 163,000 163,000 163,000 157,000 157,000 157,000 157,000 157,000 156,000 156,000 156,000    98,000 71,000 70,000                 
  additional paid-in capital2,060,115,000 2,043,898,000 2,030,712,000 2,018,105,000 2,007,388,000 1,993,806,000 1,980,818,000 1,969,239,000 1,959,615,000 1,947,518,000 1,936,389,000 1,926,393,000 1,914,064,000 1,902,874,000 1,893,557,000 1,883,871,000 1,876,079,000 1,865,933,000  1,850,396,000 1,841,748,000 1,833,617,000  1,817,100,000 1,808,896,000 1,798,958,000 1,789,811,000 1,766,055,000 1,754,711,000 1,746,541,000 1,755,330,000 1,745,181,000 1,738,556,000 1,732,585,000 1,727,434,000 1,718,249,000 1,712,572,000 1,706,856,000                                        
  retained earnings7,744,221,000 7,517,711,000 7,311,542,000 7,095,587,000 6,873,653,000 6,662,919,000 6,465,230,000 6,294,751,000 6,075,735,000 5,832,291,000 5,582,546,000 5,302,897,000 5,064,650,000 4,863,721,000 4,683,659,000 4,513,321,000 4,335,327,000 4,158,032,000  3,875,715,000 3,755,649,000 3,695,759,000  3,545,824,000 3,414,901,000 3,305,054,000 3,160,132,000 3,020,792,000 2,883,201,000 2,740,179,000 2,576,302,000 2,520,817,000 2,417,367,000 2,328,264,000 2,187,676,000 2,106,121,000 2,025,142,000 1,951,035,000 1,872,594,000 1,809,913,000 1,744,955,000 1,675,234,000 1,598,598,000 1,531,637,000 1,410,921,000 1,360,130,000 1,252,812,000 1,201,126,000 1,151,828,000 1,095,743,000 1,040,535,000 986,195,000 824,360,000 772,986,000 720,116,000    351,721,000 431,789,000 548,144,000 581,561,000 623,202,000 655,433,000  626,241,000 590,975,000 556,590,000 525,247,000 489,197,000 456,676,000    276,144,000 258,261,000 242,744,000 
  treasury stock-1,140,359,000 -1,137,299,000 -1,034,110,000 -1,012,019,000 -1,011,924,000 -970,930,000 -874,787,000 -792,076,000 -791,890,000 -790,653,000 -768,862,000 -768,758,000 -768,752,000 -668,382,000 -649,785,000 -649,591,000 -649,337,000 -649,066,000  -633,486,000 -633,455,000 -633,439,000  -479,459,000 -479,398,000 -479,265,000 -467,961,000 -452,327,000 -452,327,000 -452,327,000 -452,327,000 -452,050,000 -451,646,000 -451,541,000 -439,387,000 -439,306,000 -439,256,000 -439,216,000 -436,162,000 -436,057,000 -435,985,000 -435,889,000 -430,198,000   -537,279,000       -113,946,000 -112,537,000 -111,262,000                    -36,481,000   
  accumulated other comprehensive loss (“aoci”), net of tax-462,380,000 -495,015,000 -585,260,000 -437,304,000 -654,173,000 -662,733,000 -620,596,000 -875,377,000 -781,932,000 -679,994,000 -765,629,000 -800,032,000 -600,648,000 -394,925,000        6,881,000  -967,000 -9,972,000 -32,983,000 -58,174,000 -89,836,000 -71,467,000 -55,804,000   -34,181,000 -43,518,000 -48,146,000 -7,174,000 -1,712,000 -2,058,000                                        
  total stockholders’ equity8,201,767,000 7,929,465,000 7,723,054,000 7,664,539,000 7,215,114,000 7,023,232,000 6,950,834,000 6,596,706,000 6,461,697,000 6,309,331,000 5,984,612,000 5,660,668,000 5,609,482,000 5,703,456,000 5,837,218,000 5,690,201,000 5,547,548,000 5,285,027,000  5,126,106,000 4,987,243,000 4,902,985,000  4,882,664,000 4,734,593,000 4,591,930,000 4,423,974,000 4,244,850,000 4,114,284,000 3,978,755,000 3,841,951,000 3,781,896,000 3,670,261,000 3,565,954,000 3,427,741,000 3,378,054,000 3,296,910,000 3,216,781,000 3,122,950,000 3,071,115,000 3,004,948,000 2,938,763,000 2,850,568,000 2,768,093,000 2,624,220,000 2,364,225,000 2,257,951,000 2,343,119,000 2,382,122,000 2,318,209,000 2,294,940,000 2,283,297,000       1,521,782,000 1,476,768,000 1,535,193,000 1,264,881,000 1,272,200,000 1,103,784,000  1,166,555,000 1,055,171,000 1,038,198,000 1,019,390,000 981,370,000 937,742,000    492,645,000 422,919,000 407,123,000 
  interest and dividend income                                                                             
  loans receivable, including fees865,695,000 840,412,000 3,490,979,000 887,353,000 868,441,000 866,389,000 3,172,746,000 818,719,000 771,264,000 728,386,000 2,048,301,000 560,452,000 439,416,000 377,110,000 1,424,900,000 363,503,000 352,453,000 342,008,000  336,542,000 367,393,000 411,869,000  433,658,000 434,450,000 423,534,000 1,503,514,000 385,538,000 365,555,000 337,904,000 1,198,440,000 306,939,000 293,039,000 272,061,000 1,035,377,000 255,316,000 254,331,000 253,542,000  244,372,000 234,049,000 241,566,000 1,059,205,000 262,258,000 261,571,000 979,394,000 234,290,000 217,159,000 945,530,000 232,195,000 238,036,000 221,039,000 240,773,000 227,526,000 998,589,000    114,512,000 111,669,000 110,816,000 131,682,000 137,997,000 155,434,000  167,066,000 158,844,000 158,163,000 587,831,000 156,333,000 143,426,000    62,655,000 52,402,000 47,838,000 
  debt securities153,788,000 147,784,000 449,065,000 123,983,000 111,732,000 75,392,000 276,190,000 69,778,000 68,970,000 65,931,000 198,906,000 51,092,000 46,176,000 42,667,000                                                                
  resale agreements1,624,000 1,610,000  1,663,000 1,885,000 6,115,000 20,164,000 4,460,000 3,969,000 4,503,000 29,767,000 6,769,000 8,553,000 8,383,000 32,239,000 8,957,000 8,021,000 6,099,000 1,460,000,000 5,295,000 5,514,000 5,565,000 860,000,000 6,881,000 7,343,000 7,846,000 29,328,000 7,393,000 7,182,000 6,934,000 32,095,000 7,901,000 7,853,000 9,468,000 30,547,000 7,834,000 7,968,000 6,677,000  4,411,000 4,680,000                                     
  restricted equity securities2,957,000 2,859,000 10,104,000 2,840,000 2,950,000 1,339,000 4,062,000 1,079,000 936,000 1,039,000 3,144,000 843,000 822,000 609,000 2,081,000 500,000 541,000 547,000  353,000 301,000 446,000  656,000 505,000 713,000 3,146,000 721,000 800,000 634,000 2,524,000 612,000 470,000 777,000                                            
  interest-bearing cash and deposits with banks34,935,000 39,137,000 231,794,000 60,060,000 49,406,000 74,382,000 220,643,000 67,751,000 60,995,000 35,647,000 41,113,000 9,080,000 4,787,000 3,260,000 15,531,000 4,521,000 3,628,000 3,632,000  5,045,000 4,564,000 11,168,000  19,772,000 16,861,000 15,470,000 54,804,000 13,353,000 11,715,000 10,945,000 33,390,000 9,630,000 7,552,000 5,116,000 14,731,000                                           
  total interest and dividend income1,058,999,000 1,031,802,000 4,193,196,000 1,075,899,000 1,034,414,000 1,023,617,000 3,693,805,000 961,787,000 906,134,000 835,506,000 2,321,231,000 628,236,000 499,754,000 432,029,000 1,618,734,000 415,307,000 399,333,000 381,386,000  365,728,000 398,776,000 449,190,000  476,912,000 474,844,000 463,311,000 1,651,703,000 422,185,000 400,311,000 371,873,000 1,325,119,000 339,910,000 322,775,000 302,669,000 1,137,481,000 280,317,000 278,865,000 276,172,000  264,632,000 255,445,000 263,261,000 1,153,698,000 285,948,000 286,173,000 1,068,685,000 255,353,000 238,423,000 1,051,095,000 254,162,000 266,362,000 254,050,000 274,468,000 254,335,000 1,095,831,000    147,924,000 146,333,000 144,923,000 159,862,000 167,905,000 187,184,000  198,768,000 187,214,000 186,177,000 660,050,000 177,312,000 159,248,000    6,681,545,427,000 56,347,000 52,145,000 
  interest expense                                                                         -12,625,000    
  deposits400,588,000 391,981,000 1,720,174,000 454,071,000 431,482,000 406,199,000 1,205,550,000 338,296,000 287,477,000 216,794,000 251,838,000 68,894,000 22,488,000 12,989,000 69,159,000 15,970,000 17,998,000 21,822,000  33,798,000 46,399,000 76,403,000  96,820,000 97,964,000 92,005,000 234,752,000 65,032,000 51,265,000 39,136,000 116,391,000                                               
  federal funds purchased and other short-term borrowings1,000 6,000 42,163,000 16,000 32,000 42,106,000 157,002,000 49,575,000 49,032,000  1,801,000 1,177,000          556,000  382,000 361,000 616,000 1,398,000 643,000 124,000 7,000 1,003,000 212,000 252,000 413,000 713,000                                           
  fhlb advances39,313,000 38,866,000 147,269,000 48,261,000 48,840,000 7,739,000     1,754,000 392,000 559,000 578,000 6,881,000 857,000 2,099,000 3,069,000 652,612,000 3,146,000 3,343,000 4,166,000 745,915,000 5,021,000 4,011,000 2,979,000 10,447,000 2,732,000 2,552,000 2,260,000 7,751,000 1,947,000 1,761,000 2,030,000 321,643,000 321,084,000 320,526,000 319,973,000 1,019,424,000                 102,064,057,252,230 123,840,061,752,000 203,582,590,051,790              26,603,000      
  securities sold under repurchase agreements1,352,000 270,111,000 197,000 49,000 58,000 35,000              348,063,000 300,000,000 450,000,000  50,000,000 50,000,000 50,000,000 50,000,000 50,000,000 50,000,000 50,000,000 50,000,000 50,000,000 50,000,000 200,000,000 350,000,000 200,000,000 200,000,000 200,000,000  150,000,000 400,000,000 695,000,000 795,000,000 805,106,000 1,005,316,000 995,000,000 995,000,000 995,000,000 995,000,000 995,000,000 995,000,000 995,000,000 1,052,615,000 1,081,019,000 1,083,545,000 1,047,697,121,894,550 1,042,305,120,454,640 1,028,698,125,414,880 1,019,450,000 1,020,080,000 998,061,000 999,467,000 1,000,812,000 999,911,000  1,000,837,000 975,000,000 975,000,000 975,000,000 825,000,000 725,000,000 2,562,000 918,486,932,990     
  total interest expense441,925,000 431,601,000 1,914,480,000 503,177,000 481,185,000 458,478,000 1,381,551,000 390,974,000 339,388,000 235,645,000 275,350,000 76,427,000 26,802,000 16,416,000 87,163,000 19,601,000 22,860,000 27,691,000  41,598,000 55,001,000 86,483,000  107,105,000 107,518,000 100,850,000 265,195,000 73,465,000 58,632,000 45,180,000 140,050,000 36,755,000 32,684,000 30,547,000 104,843,000 26,169,000 25,281,000 23,968,000  24,343,000 27,953,000 27,544,000 112,820,000 28,974,000 28,207,000 112,492,000 27,709,000 29,132,000 132,168,000 32,254,000 33,205,000 35,132,000 47,132,000 45,501,000 201,117,000    52,044,000 58,073,000 65,242,000 73,347,000 75,729,000 87,565,000  94,914,000 88,285,000 87,574,000 292,568,000 81,895,000 67,604,000    139,807,966,000 11,343,000 10,062,000 
  net interest income before benefit from credit losses617,074,000 600,201,000 2,278,716,000 572,722,000 553,229,000 565,139,000  570,813,000 566,746,000 599,861,000    415,613,000  395,706,000 376,473,000 353,695,000  324,130,000 343,775,000 362,707,000  369,807,000 367,326,000 362,461,000 1,386,508,000 348,720,000 341,679,000 326,693,000 1,185,069,000 303,155,000 290,091,000 272,122,000 1,032,638,000 254,148,000 253,584,000 252,204,000  240,289,000                                      
  benefit from credit losses45,000,000 49,000,000 174,000,000 42,000,000 37,000,000 25,000,000  42,000,000 26,000,000 20,000,000    8,000,000      10,000,000 102,443,000 73,870,000  38,284,000 19,245,000 22,579,000 64,255,000 10,542,000 15,536,000 20,218,000 46,266,000 12,996,000 10,685,000 7,068,000 27,479,000 9,525,000 6,053,000 1,440,000  7,736,000                                      
  net interest income after benefit from credit losses572,074,000 551,201,000 2,104,716,000 530,722,000 516,229,000 540,139,000  528,813,000 540,746,000 579,861,000    407,613,000  405,706,000 391,473,000 353,695,000  314,130,000 241,332,000 288,837,000  331,523,000 348,081,000 339,882,000 1,322,253,000 338,178,000 326,143,000 306,475,000 1,138,803,000 290,159,000 279,406,000 265,054,000 1,005,159,000 244,623,000 247,531,000 250,764,000  232,553,000                                      
  noninterest income                                                                             
  commercial and consumer deposit-related fees26,865,000 27,075,000                                                                            
  lending and loan servicing fees25,586,000 26,230,000                                                                            
  foreign exchange income13,715,000 15,837,000 54,605,000 13,569,000 12,924,000 11,469,000 52,481,000 12,334,000 13,251,000 12,660,000 48,158,000 10,083,000 11,361,000 12,699,000 48,977,000 13,101,000 13,007,000 9,526,000  3,310,000 4,562,000 7,819,000  8,065,000 7,286,000 5,015,000                 11,381,000 3,454,000 689,000 12,658,000 3,649,000 2,336,000 7,166,000 2,165,000 563,000 1,796,000                          
  wealth management fees10,725,000 13,679,000 38,627,000 10,683,000 9,478,000 8,592,000 26,805,000 5,877,000 6,889,000 6,304,000 27,565,000 8,903,000 6,539,000 6,052,000 25,751,000 5,598,000 7,951,000 6,911,000  4,553,000 3,091,000 5,357,000  4,841,000 3,800,000 3,812,000 13,785,000 3,535,000 4,501,000 2,953,000 14,632,000 3,615,000 3,537,000 4,530,000 13,240,000 4,033,000 2,778,000 3,051,000  4,374,000 4,757,000 5,179,000                                    
  customer derivative income2,201,000 4,069,000 16,401,000  5,764,000 3,750,000 20,200,000                                                                       
  net gains on afs debt securities746,000 131,000 2,069,000 145,000 1,785,000 49,000 -6,862,000                                                                       
  other investment income678,000 2,262,000 5,611,000 2,800,000 586,000 2,815,000 9,348,000 1,751,000 4,003,000 1,921,000 7,037,000 -580,000 4,863,000 1,627,000 16,852,000 5,349,000 7,596,000 925,000  316,000 966,000 1,921,000                                                        
  other income5,662,000 2,819,000 15,526,000 4,981,000 4,091,000 4,481,000 16,176,000 2,660,000 3,936,000 4,262,000 11,489,000 2,331,000 2,421,000 4,279,000 11,960,000 2,198,000 2,492,000 2,794,000  3,495,000 1,321,000 3,180,000  3,238,000 3,783,000 3,175,000                                                    
  total noninterest income86,178,000 92,102,000 335,218,000 84,761,000 84,673,000 78,988,000 295,264,000 76,752,000 78,631,000 59,978,000 298,666,000 75,552,000 78,444,000 79,743,000 285,895,000 73,109,000 68,431,000 72,866,000  49,580,000 58,637,000 54,049,000  51,474,000 52,759,000 42,131,000 210,909,000 46,502,000 48,268,000 74,444,000 258,406,000 49,624,000 47,400,000 116,023,000 182,918,000 49,341,000 44,264,000 40,513,000  54,181,000 40,593,000 44,126,000  10,342,000  -92,468,000    2,751,000  21,740,000 12,491,000 11,041,000 39,270,000      13,794,000  13,383,000 15,925,000  13,993,000 10,802,000 12,495,000 34,358,000 8,103,000 8,119,000    71,769,193,000 7,368,000 8,457,000 
  noninterest expense                                                                             
  compensation and employee benefits144,841,000 146,435,000 550,734,000 135,464,000 133,588,000 141,812,000 508,538,000 123,153,000 124,937,000 129,654,000 477,635,000 127,580,000 113,364,000 116,269,000 433,728,000 105,751,000 105,426,000 107,808,000  99,756,000 96,955,000 101,960,000  97,819,000 100,531,000 102,299,000 379,622,000 96,733,000 93,865,000 95,234,000 335,291,000 79,583,000 80,744,000 84,603,000 300,115,000 75,042,000 73,287,000 71,837,000  66,185,000 62,860,000 64,253,000 231,838,000 58,111,000 59,277,000 175,906,000 42,026,000 45,731,000 171,374,000 40,509,000 42,863,000 46,409,000 40,870,000 38,270,000 170,052,000    15,875,000 16,509,000 17,108,000 17,520,000 25,790,000 23,268,000  22,081,000 20,648,000 20,782,000 70,583,000 18,589,000 15,831,000    93,867,970,000 9,139,000 9,168,000 
  occupancy and equipment expense16,289,000 15,689,000 64,399,000 16,238,000 15,031,000 15,230,000 62,763,000 15,353,000 16,088,000 15,587,000 62,501,000 15,920,000 15,469,000 15,464,000 62,996,000 15,851,000 15,377,000 15,922,000  16,648,000 16,217,000 17,076,000  17,912,000 17,362,000 17,318,000 68,896,000 17,292,000 16,707,000 16,880,000 64,921,000 16,635,000 15,554,000 15,640,000 61,453,000 15,456,000 15,748,000 14,415,000  15,362,000 15,185,000 15,443,000 63,815,000 15,842,000 15,851,000 56,641,000 13,706,000 13,808,000 55,475,000 14,162,000 13,057,000 13,518,000 12,175,000 12,598,000 52,073,000    6,262,000 6,297,000 7,391,000 6,817,000 6,539,000 7,008,000  6,656,000 6,046,000 5,881,000 21,350,000 5,610,000 5,339,000       
  deposit account expense9,348,000 9,042,000 47,390,000 12,229,000 12,050,000 12,188,000 43,143,000 11,585,000 10,559,000 9,609,000 25,508,000 6,707,000 5,671,000 4,693,000 16,152,000 4,136,000 3,817,000 3,892,000                                                            
  computer and software related expenses13,446,000 13,314,000 47,271,000 11,436,000                                                                          
  deposit insurance premiums and regulatory assessments9,133,000 10,385,000 45,736,000 9,178,000 10,708,000 19,649,000 103,308,000 8,583,000 8,262,000 7,910,000 19,449,000 4,875,000 4,927,000 4,717,000 17,563,000 4,641,000 4,274,000 3,876,000  4,006,000 3,700,000 3,427,000  3,550,000 2,919,000 3,088,000 21,211,000 6,013,000 5,832,000 6,273,000 23,735,000 5,676,000 5,779,000 5,929,000 23,279,000 6,450,000 5,473,000 5,418,000  4,726,000 3,341,000 5,656,000 21,922,000 5,247,000 5,702,000 16,550,000 3,875,000 3,782,000 14,130,000 3,461,000 3,323,000 3,992,000 6,833,000 7,191,000 25,201,000    6,057,000 9,568,000 3,325,000 1,678,000 2,321,000 1,192,000  350,000 324,000 347,000 1,360,000 339,000 366,000    211,187,000 183,000 178,000 
  other operating expense36,727,000 41,541,000 148,301,000 36,021,000 37,613,000 33,445,000 140,222,000 31,885,000 35,337,000 30,998,000 118,166,000 28,094,000 29,324,000 20,897,000 81,798,000 20,998,000 17,939,000 19,607,000  17,122,000 19,248,000 21,119,000  22,769,000 22,679,000 22,289,000 88,042,000 23,394,000 20,779,000 17,607,000 76,697,000 19,830,000 19,064,000 16,463,000 77,462,000 19,881,000 21,397,000 21,795,000  23,390,000 21,463,000  92,359,000                                   
  amortization of tax credit and cra investments26,236,000 15,742,000 54,242,000 5,600,000 16,052,000 13,207,000                                                                        
  total noninterest expense256,020,000 252,148,000 958,073,000 226,166,000 236,434,000 246,875,000 1,022,748,000 252,014,000 261,789,000 218,447,000 859,393,000 215,973,000 196,860,000 189,450,000 796,089,000 205,384,000 189,523,000 191,077,000  167,650,000 187,696,000 178,876,000  176,630,000 177,663,000 186,922,000 714,466,000 179,815,000 177,419,000 169,135,000 662,109,000 164,499,000 169,121,000 153,073,000 615,889,000 170,500,000 148,879,000 146,606,000  147,745,000 120,170,000 128,030,000 564,551,000 176,979,000 124,427,000 415,511,000 94,420,000 96,355,000 422,533,000 100,956,000 101,608,000 114,763,000 117,597,000 106,789,000 477,916,000    46,064,000 57,912,000 51,406,000 48,526,000 65,600,000 52,902,000  47,143,000 43,263,000 42,318,000 161,893,000 41,946,000 38,536,000    2,321,019,843,000 21,646,000 20,756,000 
  income before income taxes402,232,000 391,155,000 1,481,861,000 389,317,000 364,468,000 372,252,000 1,459,770,000 353,551,000 357,588,000 421,392,000 1,411,654,000 384,388,000 341,036,000 297,906,000 1,056,377,000 273,431,000 270,381,000 235,484,000  196,060,000 112,273,000 164,010,000  206,367,000 223,177,000 195,091,000 818,696,000 204,865,000 196,992,000 211,784,000 735,100,000 175,284,000 157,685,000 228,004,000 572,188,000 123,464,000 142,916,000 144,671,000  138,989,000 144,421,000 146,826,000  75,112,000                                  
  income tax expense91,979,000 100,885,000 316,275,000 90,151,000 76,238,000 87,177,000 298,609,000 65,813,000 45,557,000 98,953,000 283,571,000 89,049,000 82,707,000 60,254,000 183,396,000 47,982,000 45,639,000 30,490,000  36,523,000 12,921,000 19,186,000  34,951,000 72,797,000 31,067,000 114,995,000 33,563,000 24,643,000 24,752,000 229,476,000 42,624,000 39,355,000 58,268,000 140,511,000 13,321,000 39,632,000 37,155,000   45,673,000 46,799,000                                    
  net income310,253,000 290,270,000 1,165,586,000 299,166,000 288,230,000 285,075,000 1,161,161,000 287,738,000 312,031,000 322,439,000 1,128,083,000 295,339,000 258,329,000 237,652,000 872,981,000 225,449,000 224,742,000 204,994,000  159,537,000 99,352,000 144,824,000  171,416,000 150,380,000 164,024,000 703,701,000 171,302,000 172,349,000 187,032,000 505,624,000 132,660,000 118,330,000 169,736,000 431,677,000 110,143,000 103,284,000 107,516,000  94,097,000 98,748,000 100,027,000 342,483,000 88,756,000 76,741,000 295,045,000 74,015,000 72,091,000 281,650,000 71,110,000 70,557,000 68,083,000 60,525,000 56,071,000         -25,887,000 5,044,000  41,336,000 40,490,000 42,096,000 143,369,000 35,562,000 36,645,000    20,399,000 18,029,000 16,945,000 
  earnings per share                                                                             
  basic2,250 2,100 8,390 2,160 2,070 2,040 8,230 2,030 2,210 2,280 7,980 2,100 1,830 1,670 6,160 1,590 1,580 1,450  1,130 700 1,000  1,180 1,030 1,130 4,860 1,180 1,190 1,290 3,500 920 820 1,180 3,000 760 720 750  650 690 700 2,390 620 540 2,110 520 510 1,920 490 480 460 400 370 880    -910 -1,830 -500 -560 -410 80  680 670 690 2,400 590 610       
  diluted2,240 2,080 8,330 2,140 2,060 2,030 8,180 2,020 2,200 2,270 7,920 2,080 1,810 1,660 6,100 1,570 1,570 1,440  1,120 700 1,000  1,170 1,030 1,120 4,810 1,170 1,180 1,280 3,470 910 810 1,160 2,970 760 710 740  650 680 690 2,380 620 540 2,100 520 500 1,890 480 470 450 390 370 830    -910 -1,830 -500 -560 -410 80  670 660 680 2,350 580 590       
  weighted-average number of shares outstanding                                                                             
  repurchase agreements 77,000     1,497,000 193,000 211,000 1,052,000 14,362,000 4,421,000 2,418,000 2,016,000 7,999,000 2,012,000 1,991,000 1,978,000 300,000,000 2,155,000 3,540,000 3,991,000 200,000,000 3,239,000 3,469,000 3,492,000 12,110,000 3,366,000 3,042,000 2,306,000 9,476,000 2,122,000 2,273,000 3,143,000 9,304,000 2,319,000 2,196,000 1,926,000  3,555,000 7,533,000                                     
  bank term funding program (“btfp”) borrowings                                                                             
  assets purchased under resale agreements  11,254,000    785,000,000 785,000,000 635,000,000 654,288,000 792,192,000 892,986,000 1,422,794,000 1,956,822,000 2,353,503,000 2,596,142,000 2,299,184,000 2,160,038,000                                                            
  deposit account fees  103,880,000 26,815,000 25,649,000 24,948,000 89,606,000 22,622,000 22,285,000 21,703,000 88,435,000 23,636,000 22,372,000 20,315,000 71,261,000 18,508,000 17,342,000 15,383,000  12,573,000 10,872,000 10,447,000  9,918,000 9,788,000 9,641,000                                                    
  lending fees  98,455,000 26,453,000 24,340,000 22,925,000 83,876,000 20,312,000 20,901,000 20,586,000 79,208,000 20,289,000 20,142,000 19,438,000 77,704,000 17,516,000 21,092,000 18,357,000  18,736,000 21,946,000 15,773,000  14,846,000 16,242,000 14,796,000                                                    
  net gains on sales of loans  44,000 21,000 56,000  3,634,000 -12,000 -7,000 -22,000 6,411,000 2,129,000 917,000 2,922,000 8,909,000 3,329,000 1,491,000 1,781,000  361,000 132,000 950,000  2,037,000 15,000 915,000 6,590,000 1,145,000 2,354,000 1,582,000 8,870,000 2,361,000 1,546,000 2,754,000 6,087,000 2,158,000 2,882,000 1,927,000  4,888,000 5,280,000 9,551,000 39,132,000 7,726,000                                  
  customer derivative (losses) income   -706,000                                                                          
  securities:                                                                             
  computer software and data processing expenses    11,392,000 11,344,000 44,475,000                                                                       
  short-term borrowings     19,173,000 4,500,000,000 4,500,000,000 4,500,000,000 4,500,000,000   241,000 9,000     21,009,000 59,613,000 252,851,000 66,924,000 28,669,000 47,689,000 19,972,000 39,550,000 57,638,000 56,411,000 58,523,000 30,277,000  24,813,000 24,426,000 42,023,000 60,050,000 36,992,000 29,499,000 10,093,000  3,146,000 3,271,000                                687,016,373,680     
  net incomees on sales of loans     -41,000                                                                        
  investments in qualified affordable housing partnerships, tax credit and other investments      905,036,000 901,559,000 815,471,000 741,354,000 763,256,000 725,254,000 634,304,000 607,985,000                                                                
  assets sold under repurchase agreements          300,000,000 611,785,000 611,785,000 300,000,000 300,000,000 300,000,000 300,000,000 300,000,000                                                            
  net interest income before benefit from (reversal of) credit losses      2,312,254,000    2,045,881,000 551,809,000 472,952,000                                                                 
  benefit from (reversal of) credit losses      125,000,000    73,500,000 27,000,000 13,500,000                                                                 
  net interest income after benefit from (reversal of) credit losses      2,187,254,000    1,972,381,000 524,809,000 459,452,000                                                                 
  amortization of tax credit and other investments      120,299,000 49,694,000 55,914,000 10,110,000 113,358,000 19,874,000 14,979,000 13,900,000 122,457,000 38,008,000 27,291,000 25,358,000  12,286,000 24,759,000 17,325,000  16,833,000 16,739,000 24,905,000 89,628,000 20,789,000 20,481,000 17,400,000 87,950,000 23,827,000 27,872,000 14,360,000 83,446,000 32,618,000 14,006,000 14,155,000  12,269,000 2,997,000 6,299,000                                    
  interest rate contracts and other derivative income       11,208,000 7,373,000 2,564,000 29,057,000 8,761,000 9,801,000 11,133,000 22,913,000 7,156,000 -3,172,000 16,997,000  5,538,000 6,107,000 7,073,000  8,423,000 10,398,000 3,216,000                                                    
  data processing       3,645,000 3,213,000 3,347,000 14,517,000 3,725,000 3,486,000 3,665,000 16,263,000 3,575,000 4,035,000 4,478,000  3,590,000 4,480,000 3,826,000  3,328,000 3,460,000 3,157,000 13,177,000 3,289,000 3,327,000 3,401,000 12,093,000 3,004,000 3,058,000 2,947,000 11,683,000 2,729,000 3,295,000 2,688,000  2,602,000 2,377,000 2,617,000 15,888,000 2,211,000 8,200,000 9,095,000 2,200,000 2,437,000 9,231,000 2,313,000 2,197,000 2,464,000 2,100,000 2,603,000 10,615,000    1,079,000 1,141,000 1,142,000 1,055,000 1,135,000 1,196,000  1,351,000 1,070,000 982,000 3,644,000 890,000 1,028,000    566,461,000 507,000 461,000 
  computer software expense       8,116,000 7,479,000 7,360,000 28,259,000 6,889,000 6,572,000 7,294,000 30,600,000 8,426,000 7,521,000 7,159,000  8,539,000 7,301,000 6,166,000  6,556,000 6,211,000 6,078,000 22,286,000 5,478,000 5,549,000 5,054,000 18,183,000 4,393,000 5,462,000 3,968,000 12,914,000 3,331,000                                          
  net realized gains on afs debt securities         -10,000,000                                                                    
  repurchase agreements’ extinguishment cost         3,872,000           8,740,000                                                         
  gains on sales of afs debt securities          1,306,000  28,000 1,278,000  354,000 632,000 192,000  698,000 9,640,000                                                         
  federal funds purchased           200,000,000                                        2,000       3,022,000 22,000 22,000 30,443,000 86,149,000 77,502,000  165,910,000 159,000,000 106,500,000 151,000,000 118,014,000 104,000,000 1,767,000      
  consulting expense           1,620,000 2,021,000 1,833,000 6,517,000 1,635,000 1,868,000 1,475,000  1,224,000 1,413,000 1,217,000  2,559,000 2,069,000 2,059,000 11,579,000 2,683,000 5,120,000 2,352,000 14,922,000 4,087,000 4,769,000 1,919,000 22,742,000 4,594,000 5,981,000 8,452,000  4,983,000 2,182,000   2,982,000 1,049,000 6,446,000 1,003,000 454,000 7,984,000 2,692,000 1,568,000 1,467,000 2,378,000 1,626,000 7,984,000       1,254,000                
  legal expense           689,000 1,047,000 718,000 8,015,000 2,363,000 1,975,000 1,502,000  1,366,000 1,530,000 3,197,000  1,720,000 2,355,000 2,225,000 8,781,000 1,544,000 2,837,000 2,255,000 11,444,000 3,316,000 2,552,000 3,062,000 2,841,000 5,361,000 4,346,000 3,007,000  2,099,000 4,134,000 6,870,000 53,018,000 32,500,000 3,799,000 31,718,000 5,467,000 4,444,000 25,441,000 8,213,000 4,150,000 7,173,000 6,791,000 4,101,000 19,577,000    1,323,000 1,755,000 1,778,000 855,000 1,135,000               
  restricted equity securities, at cost              77,434,000 77,200,000 76,931,000 83,250,000 83,046,000 79,172,000 78,963,000 78,745,000 78,580,000 78,334,000 78,093,000 74,736,000 74,069,000 73,729,000 73,524,000 73,787,000 73,521,000 73,322,000 73,173,000 73,019,000                                            
  investments in qualified affordable housing partnerships              289,741,000 297,367,000 287,432,000 284,862,000 213,555,000 192,913,000 201,888,000 198,653,000 207,037,000 190,000,000 198,466,000 197,470,000 184,873,000 148,097,000 152,556,000 160,574,000 162,824,000 178,344,000 169,103,000 176,965,000 183,917,000 173,045,000 179,657,000 186,999,000 193,978,000 170,213,000 176,566,000                                     
  investments in tax credit and other investments              338,522,000 367,428,000 364,187,000 361,438,000 266,525,000 254,512,000 251,318,000 268,330,000 254,140,000 211,603,000 210,387,000 217,445,000 231,635,000 232,194,000 242,595,000 246,183,000 224,551,000 203,758,000 189,405,000 177,023,000 173,260,000                                           
  accumulated other comprehensive income (“aoci”), net of tax              -90,381,000 -57,568,000 -14,689,000 -90,040,000  33,314,000 23,134,000                  -14,941,000                                       
  afs debt securities              143,983,000 37,826,000 34,690,000 29,100,000  18,493,000 21,004,000 20,142,000                                                        
  net interest income before (reversal of) benefit from credit losses              1,531,571,000                                                               
  (reversal of) benefit from credit losses              -35,000,000 -10,000,000 -15,000,000                                                             
  net interest income after (reversal of) benefit from credit losses              1,566,571,000                                                               
  net gains on sales of afs debt securities              1,568,000       1,529,000                                                        
  afs debt securities, at fair value                  5,544,658,000                                                           
  afs debt securities:                                                                             
  u.s. treasury securities                  50,761,000                                                           
  u.s. government agency and u.s. government-sponsored enterprise debt securities                  814,319,000                                                           
  u.s. government agency and u.s. government-sponsored enterprise mortgage-backed securities                  2,814,664,000                                                           
  municipal securities                  396,073,000                                                           
  non-agency mortgage-backed securities                  529,617,000                                                           
  corporate debt securities                  405,968,000                                                           
  foreign government bonds                  182,531,000                                                           
  asset-backed securities                  63,231,000                                                           
  clos                  287,494,000                                                           
  total afs debt securities                  5,544,658,000                                                           
  deposit related expense                   3,113,000 3,353,000 3,563,000  3,584,000 3,338,000 3,504,000 11,244,000 2,600,000 2,922,000 2,679,000 9,938,000 2,413,000 2,505,000                                             
  afs investment securities, at fair value                      3,317,214,000                                                       
  •                                                                             
  available-for-sale investment securities, at fair value                       3,284,034,000 2,592,913,000 2,640,158,000 2,741,847,000 2,676,510,000 2,707,444,000 2,811,416,000 3,016,752,000 2,956,776,000 2,822,725,000 2,962,034,000 3,335,795,000 3,236,624,000 3,240,332,000 3,205,238,000 3,773,226,000 2,952,277,000 2,982,146,000 2,841,085,000                                    
  available-for-sale investment securities                       15,945,000 15,685,000 15,748,000              10,279,000 9,484,000 10,184,000                                    
  net gains on sales of available-for-sale investment securities                       58,000 1,447,000 1,561,000 2,535,000 35,000 210,000 2,129,000 8,037,000 1,539,000 2,720,000 2,474,000 10,362,000 1,790,000 2,836,000 3,842,000  17,036,000 5,554,000 4,404,000                                    
  net gains on sales of fixed assets                       48,000   6,683,000 3,402,000 1,114,000 1,086,000 77,388,000 1,043,000 1,042,000 72,007,000                                            
  net gain on sale of business                          31,470,000   31,470,000 3,807,000 3,807,000                                              
  branch assets held-for-sale                              91,318,000                                               
  branch liability held-for-sale                              605,111,000                                               
  long-term debt                          146,835,000 156,770,000 161,704,000 166,640,000 171,577,000 176,513,000 176,450,000 181,388,000 186,327,000 191,265,000 196,204,000 201,102,000 206,084,000 211,024,000 215,964,000 220,905,000 225,848,000 230,790,000 240,675,000 226,868,000 137,178,000 137,178,000 137,178,000 137,178,000 212,178,000 212,178,000 225,261,000 235,570,000 235,570,000    235,570,000 235,570,000 235,570,000 235,570,000 235,570,000 235,570,000  235,570,000 204,642,000 204,642,000 184,023,000 184,023,000 184,023,000 6,766,000 11,525,318,106,230     
  investment securities                          60,911,000 15,180,000 15,059,000 15,456,000 58,670,000 14,828,000 13,861,000 15,247,000 53,399,000 13,388,000 12,852,000 11,193,000     44,684,000 11,364,000 12,276,000 43,846,000 9,594,000 10,210,000 58,184,000 10,380,000 16,913,000 21,232,000 23,253,000 18,857,000 70,052,000                 25,912,000      
  branch fees                          39,859,000 9,777,000 10,140,000 10,430,000 42,490,000 10,803,000 10,700,000 10,296,000 41,178,000 10,408,000 10,353,000 10,222,000  9,982,000 9,791,000 9,384,000 37,866,000 9,515,000 9,446,000 32,036,000 8,119,000 7,654,000 33,604,000 8,347,000 8,641,000 8,294,000 9,078,000 7,754,000 32,634,000    4,679,000 4,991,000 4,793,000 4,285,000 4,339,000 4,101,000  3,836,000 3,404,000 3,427,000 11,265,000 2,837,000 2,890,000    16,931,855,000 1,839,000 1,795,000 
  letters of credit fees and foreign exchange income                          56,282,000 14,649,000 15,673,000 9,602,000 42,779,000 10,154,000 11,986,000 11,069,000 45,760,000 10,908,000 10,943,000 9,553,000  7,468,000 8,825,000 8,706,000                                    
  ancillary loan fees and other income                          24,052,000 6,795,000 5,841,000 5,581,000 23,333,000 5,987,000 5,907,000                                             
  derivative fees and other income                          18,980,000 4,595,000 6,570,000 6,690,000 17,671,000 6,663,000 3,765,000 2,506,000 16,781,000                                           
  other fees and operating income                          10,673,000 2,569,000 1,865,000 2,921,000 19,399,000 3,652,000 6,197,000 5,405,000 30,158,000 8,534,000 6,823,000 4,875,000                                        
  cash dividends declared per common share                            200 200 800                                               
  held-to-maturity investment security, at cost                                121,131,000 132,497,000 143,971,000 154,461,000 159,208,000 160,135,000                                        
  accumulated other comprehensive loss, net of tax                              -37,519,000 -32,217,000                      -10,155,000                        
  changes in federal deposit insurance corporation (“fdic”) indemnification asset and receivable/payable                                                                             
  amortization of core deposit intangibles                              6,935,000 1,735,000 1,762,000 1,817,000 8,086,000                                           
  repurchase agreements’ extinguishment costs                                       15,193,000                                      
  securities :                                                                             
  customer deposits:                                                                             
  customer deposits                               31,086,000 27,045,000 23,672,000 84,224,000 21,049,000 20,362,000 19,297,000  18,519,000 18,195,000 16,963,000                                    
  dividends declared per common share                               200 200 200 800 200 200 200  200 200 200 720 180 180 600 150 150 400 100 100 100 50 10 40    10 10 20 100                
  ancillary loan fees                                 4,982,000 19,352,000 6,135,000 4,285,000 3,577,000  4,839,000 2,812,000 2,656,000 10,616,000 2,874,000 2,472,000 9,368,000 2,634,000 2,052,000 8,831,000 1,817,000 2,188,000 2,008,000 2,055,000 1,991,000 8,526,000    1,227,000 1,356,000 2,229,000 1,783,000 984,000 1,141,000  1,397,000 1,487,000 1,280,000 3,885,000 925,000 1,131,000    7,501,283,000 1,973,000 1,153,000 
  deposit related expenses                                 2,365,000 10,394,000 3,082,000 2,273,000 2,207,000       1,704,000  1,516,000 1,574,000  1,388,000                            
  investment in federal home loan bank (“fhlb”) stock, at cost                                  17,250,000 17,250,000 18,158,000 18,157,000 28,770,000                                       
  investment in federal reserve bank stock, at cost                                  55,525,000 55,355,000 55,216,000 55,079,000 54,932,000 54,786,000 54,675,000 54,556,000 54,451,000 54,324,000 50,370,000 48,333,000 48,111,000 48,036,000 48,003,000      47,285,000    36,785,000 36,785,000 36,785,000 27,589,000 27,589,000 21,685,000  18,934,000 18,430,000 17,830,000 17,830,000 17,830,000 17,200,000    6,923,000   
  investments in fhlb and federal reserve bank stock                                  3,427,000                                           
  other real estate owned (“oreo”) income                                  1,474,000 -67,000 1,023,000 528,000                                        
  short-term investments                                   307,473,000 229,979,000 305,548,000 299,916,000 258,028,000 274,838,000 325,350,000 338,714,000 336,419,000 323,266,000 257,473,000 330,438,000 379,029,000 366,378,000 347,001,000 254,714,000 177,576,000 85,479,000 140,585,000 143,560,000    460,665,000 554,293,000 329,288,000 495,000 1,051,000 538,000  347,000 117,000 100,000 443,000 96,000 113,000 275,000 9,655,783,210  85,463,000 282,000 240,000 
  investment in fhlb and federal reserve bank stock                                   611,000 602,000 795,000                                        
  due from banks and short-term investments                                   3,168,000 3,112,000 3,965,000  4,190,000 4,926,000 5,426,000 23,214,000 5,505,000 5,602,000  4,292,000 4,276,000  5,211,000 5,774,000                           
  derivative commission income                                   5,375,000 3,364,000 3,466,000  4,274,000 2,733,000                                     
  changes in fdic indemnification asset and receivable/payable                                       -3,883,000 -6,668,000 -8,422,000 -201,417,000                                   
  amortization of premiums on deposits acquired                                   2,023,000 2,050,000 2,104,000  2,310,000 2,337,000 2,391,000 10,204,000 2,597,000 2,500,000 9,365,000 2,375,000 2,409,000 10,906,000 2,734,000 2,838,000 2,873,000 3,151,000 3,185,000            1,767,000 1,525,000 1,532,000 7,118,000 1,691,000 1,852,000    575,518,000 519,000 518,000 
  loans held for sale                                    51,290,000 28,795,000 31,958,000 349,375,000 195,427,000 196,111,000 45,950,000 239,649,000 577,353,000 204,970,000 245,026,000 226,635,000 174,317,000 157,869,000 137,812,000 280,830,000 326,841,000 303,673,000 220,055,000                       
  additional paid in capital                                      1,701,295,000 1,695,265,000 1,690,384,000 1,685,699,000 1,677,767,000 1,666,069,000 1,656,867,000 1,571,670,000 1,558,415,000 1,470,674,000 1,464,739,000 1,462,270,000 1,456,361,000 1,449,971,000 1,431,305,000 1,424,440,000 1,434,277,000    929,558,000 714,274,000 697,138,000 858,020,000 855,082,000 657,438,000  648,079,000 561,595,000 551,229,000 544,469,000 539,168,000 531,132,000    254,753,000 205,343,000 202,850,000 
  prior period was restated to reflect the retrospective application of adopting the new accounting guidance related to the company’s investments in qualified affordable housing projects accounting standards update (“asu”) 2014-01. please see note 9 — investments in qualified affordable housing partnerships, tax credit and other investments, net to the consolidated financial statements for additional information.                                                                             
  investment in federal home loan bank stock, at cost                                       18,156,000 18,155,000 28,603,000 31,239,000 34,691,000 52,110,000 62,330,000 86,139,000 96,795,000 107,275,000      162,805,000    86,729,000 86,729,000 86,729,000 86,153,000 90,683,000 95,399,000  73,461,000 55,907,000 64,723,000 77,469,000 75,647,000 48,130,000    41,236,000 29,671,000 29,712,000 
  federal home loan bank advances                                       318,872,000 318,322,000 317,777,000 317,241,000 316,699,000 315,620,000 315,092,000 314,022,000 313,494,000 312,975,000 363,119,000 362,885,000 394,719,000 532,951,000 793,643,000 1,214,148,000    923,216,000 1,173,238,000 1,233,269,000 1,538,350,000 1,543,389,000 1,653,411,000  1,453,404,000 1,164,858,000 866,858,000 1,136,866,000 1,499,879,000 841,918,000  80,368,862,903,110  655,250,000 571,300,000 481,300,000 
  accumulated other comprehensive income, net of tax                                       1,830,000 5,430,000 13,555,000 4,237,000   -30,459,000  6,185,000 4,669,000    4,430,000  -12,414,000             1,982,000       1,436,000  1,560,000 
  investment in federal home loan bank and federal reserve bank stock                                       1,380,000 2,306,000 1,236,000 6,272,000                                   
  dividend and other investment income                                       495,000   5,464,000 4,113,000                                  
  other fees and other operating income                                       4,708,000 7,509,000                                     
  other real estate owned income                                       -1,374,000 -5,081,000 -1,026,000 -3,591,000                   2,123,000 508,000               
  income tax benefit                                       44,892,000                                      
  other real estate owned                                        25,792,000 32,692,000 27,612,000 33,337,000 28,421,000 18,900,000 21,433,000 32,324,000 32,911,000 40,007,000 43,222,000 46,343,000 16,464,000 15,580,000 21,865,000    24,185,000 27,188,000 38,634,000 17,607,000 17,490,000 14,893,000  622,000 622,000 622,000 2,786,000 2,884,000 2,786,000    299,000   
  net interest income before benefit from loan losses                                        227,492,000 235,717,000 1,040,878,000 256,974,000 257,966,000 956,193,000 227,644,000 209,291,000 918,927,000 221,908,000 233,157,000 218,918,000 227,336,000 208,834,000 894,714,000    95,880,000 88,260,000 79,681,000 86,515,000 92,176,000 99,619,000  103,854,000 98,929,000 98,603,000 367,482,000 95,417,000 91,644,000    5,283,537,461,000 45,004,000 42,083,000 
  benefit from loan losses                                        3,494,000 4,987,000         15,500,000 18,100,000 26,500,000 26,506,000 200,159,000    159,244,000 151,422,000 78,000,000 43,000,000 85,000,000 55,000,000  3,000,000   6,166,000 3,500,000 1,333,000    50,002,000,000 3,000,000 3,750,000 
  net interest income after benefit from loan losses                                        223,998,000 230,730,000 991,720,000 241,749,000 251,033,000 933,829,000 218,644,000 204,964,000 853,743,000 203,408,000 217,657,000 200,818,000 200,836,000 182,328,000 694,555,000      1,681,000 43,515,000 7,176,000 44,619,000  100,854,000 98,929,000 98,603,000 361,316,000 91,917,000 90,311,000    4,783,535,461,000 42,004,000 38,333,000 
  loan related income                                        1,750,000                                     
  repurchase agreements extinguishment costs                                        6,625,000                                     
  loans                                         21,116,931,000                                    
  investment in qualified affordable housing partnerships                                         182,719,000                                    
  derivative commission fee income                                         5,306,000                                    
  other operating income                                         7,362,000 19,033,000 3,823,000 9,179,000 34,801,000 9,604,000 6,057,000 21,935,000 5,717,000 5,318,000 4,232,000 6,475,000 5,250,000 9,467,000    1,204,000 192,000 506,000 413,000 854,000 789,000  621,000 904,000 651,000 3,303,000 504,000 689,000    637,673,000 746,000 643,000 
  loan related expenses                                         2,340,000 3,438,000 1,127,000 2,575,000 12,520,000 3,573,000 3,584,000 14,987,000 4,011,000     21,070,000                       
  other operating expenses                                         23,187,000  20,848,000 16,472,000 64,594,000 14,803,000 14,833,000 59,731,000 15,370,000 14,533,000 14,307,000 14,026,000 13,746,000 67,879,000    8,778,000 8,560,000 8,410,000 9,893,000 12,657,000 14,838,000  12,234,000 10,552,000 9,839,000 43,153,000 10,907,000 10,017,000    62,895,304,000 5,356,000 4,914,000 
  investment securities available-for-sale, at fair value                                          2,626,365,000 2,592,667,000 2,474,744,000 2,733,797,000 2,667,172,000 2,588,993,000 2,607,029,000 2,237,848,000 1,873,739,000 2,706,720,000 3,206,108,000 2,930,976,000 2,875,941,000    1,457,023,000 1,381,810,000 1,994,403,000 2,047,244,000 1,828,181,000 1,748,266,000  1,962,090,000 1,784,870,000 1,680,465,000 1,647,080,000 1,490,112,000 1,353,386,000    472,197,000 453,154,000 392,495,000 
  non-covered loans                                          19,994,081,000 19,097,117,000                                  
  covered loans                                          1,474,189,000 1,636,399,000 2,028,806,000 2,187,898,000 2,504,315,000 2,752,269,000 2,935,595,000 3,178,585,000 3,416,613,000 3,683,698,000 4,356,595,000 4,599,757,000 4,800,876,000                       
  total loans receivable                                          21,468,270,000 20,733,516,000 19,082,250,000 17,600,613,000 15,768,530,000 14,872,172,000 14,645,785,000 14,094,971,000 13,972,267,000 13,948,524,000 13,457,769,000 13,166,261,000 13,231,075,000                       
  fdic indemnification asset                                            27,552,000 74,708,000 219,942,000 276,834,000 316,313,000 368,473,000 409,287,000 457,265,000 637,535,000 717,260,000 792,133,000                       
  other real estate owned covered                                          4,499,000 7,433,000 30,610,000 21,373,000 29,836,000 28,567,000 26,808,000 27,613,000 35,577,000 55,586,000 123,050,000 142,416,000 123,902,000                       
  total other real estate owned                                          32,111,000 40,770,000 59,031,000 40,273,000 51,269,000 60,891,000 59,719,000 67,620,000 78,799,000 101,929,000 139,514,000 157,996,000 145,767,000                       
  investment in affordable housing partnerships                                          178,652,000 179,606,000 189,303,000 165,724,000 176,588,000 181,928,000 185,645,000 178,962,000 181,858,000 160,672,000 177,516,000 161,788,000 155,074,000    60,546,000 48,127,000 49,684,000 41,819,000 43,640,000 45,522,000  42,657,000 43,674,000 39,910,000 36,564,000 29,725,000 28,280,000    34,331,000 26,116,000 28,042,000 
  premiums on deposits acquired                                          45,309,000 47,792,000 53,013,000 46,920,000 51,501,000 53,875,000 56,285,000 58,746,000 61,480,000 64,317,000 73,182,000 76,332,000 79,518,000    17,904,000 18,973,000 20,065,000 22,314,000 23,896,000 25,722,000  30,481,000 17,326,000 18,851,000 20,383,000 22,193,000 23,884,000      7,046,000 
  liabilities and stockholders’ equity                                                                             
  customer deposit accounts:                                                                             
  payable to fdic                                          96,106,000 64,460,000                                  
  customer deposit accounts                                          65,486,000 17,158,000 15,882,000 63,496,000 15,738,000 16,854,000 75,895,000 18,202,000 19,177,000 20,164,000 29,130,000 25,982,000 116,737,000    26,970,000 30,890,000 37,073,000 40,757,000 43,536,000 52,253,000  62,058,000 61,124,000 58,962,000 200,265,000 53,896,000 49,939,000    97,856,637,000 8,364,000 7,401,000 
  other borrowings                                                20,000,000    143,000 153,000 2,326,000 323,374,976,010 497,859,677,790 548,274,383,200                    
  benefit from loan losses on non-covered loans                                          44,125,000 7,556,000                                  
  benefit from loan losses on covered loans                                          5,033,000   4,028,000  5,089,000 5,016,000                             
  impairment loss on investment securities                                                     -5,555,000 -32,127,000                       
  less: noncredit-related impairment loss recorded in other comprehensive income                                                5,066,000   5,066,000  5,091,000 15,458,000    20,950,000 63,306,000 13,180,000                 
  net impairment loss on investment securities recognized in earnings                                                     -464,000 -16,669,000                       
  net gains on sales of investment securities                                          10,851,000 2,514,000                                  
  letters of credit fees and commissions                                          25,941,000 6,844,000 6,167,000 22,116,000 5,426,000 5,062,000 19,104,000 5,001,000 4,538,000  3,390,000 3,044,000 11,816,000    1,984,000 1,930,000 1,854,000 2,319,000 2,476,000 2,677,000  2,702,000 2,633,000 2,353,000 8,673,000 2,065,000 2,159,000    17,821,782,000 2,076,000 2,113,000 
  other commission and fee income                                          29,419,000 8,290,000                                  
  total noninterest loss                                          -11,714,000                                   
  amortization of investments in affordable housing partnerships and other tax credit investments                                          75,660,000 36,936,000                                  
  income before taxes                                          415,455,000                                   
  benefit from income taxes                                          72,972,000  34,949,000 130,805,000 37,855,000 34,419,000 143,942,000 34,093,000 33,837,000 39,712,000 35,205,000 30,509,000          2,598,000  26,368,000 25,978,000 26,684,000 90,412,000 22,512,000 23,249,000    114,028,669,000 9,697,000 9,089,000 
  preferred stock dividends                                             3,428,000 1,714,000 1,714,000  1,714,000 1,714,000 1,714,000          4,089,000                
  net income available to common stockholders                                          342,483,000 88,756,000 76,741,000 291,617,000 72,301,000 70,377,000 274,793,000 69,396,000 68,843,000 66,369,000 58,811,000 54,356,000 121,438,000    -79,151,000 -115,714,000 -31,209,000 -35,295,000                
  earnings per share available to common stockholders                                                                             
  accrued interest receivable                                           96,054,000 102,802,000 116,314,000 109,822,000 103,392,000 94,837,000 88,814,000 85,389,000 95,337,000 88,362,000 83,628,000 82,090,000                       
  due from customers on acceptances                                           25,112,000 22,407,000 21,236,000 21,573,000 22,662,000 28,612,000 30,365,000 31,939,000 179,880,000 215,076,000 66,879,000 73,796,000    5,414,000 7,904,000 3,887,000 8,123,000 9,538,000 12,740,000  10,633,000 15,147,000 15,973,000 8,134,000 10,886,000 8,355,000    14,719,000 13,457,000 15,668,000 
  cash surrender value of life insurance policies                                           100,604,000 128,772,000 112,650,000 111,531,000 110,860,000 110,133,000      103,048,000    97,511,000 96,592,000 95,665,000 93,836,000 90,408,000 89,542,000  102,817,000 96,564,000 91,444,000 90,598,000 87,325,000 86,480,000    66,668,000 66,093,000 65,366,000 
  bank acceptances outstanding                                           25,112,000 22,407,000 21,236,000 21,573,000 22,662,000 28,612,000 30,365,000 31,939,000 179,880,000 215,076,000 66,879,000 73,796,000    5,414,000 7,904,000 3,887,000 8,123,000 9,538,000 12,740,000  10,633,000 15,147,000 15,973,000 8,134,000 10,886,000 8,355,000    14,719,000 13,457,000 15,668,000 
  investment in federal home loan bank stock                                           663,000 1,123,000 3,982,000 1,021,000 529,000 1,808,000 127,000 167,000 220,000 124,000 233,000 597,000    366,000   1,390,000 1,479,000 1,284,000  828,000 668,000 961,000 3,161,000 844,000 646,000       
  investment in federal reserve bank stock                                           814,000 748,000 2,887,000 721,000 720,000 2,865,000 719,000 714,000 713,000 709,000 709,000 2,751,000    552,000 545,000 506,000 413,000 384,000 325,000  279,000 272,000 267,000 932,000 262,000 218,000       
  benefit from (reversal of) loan losses on covered loans                                           7,669,000   723,000                               
  income from life insurance policies                                           836,000 1,151,000 3,778,000 900,000 968,000 4,015,000 982,000 959,000 990,000 1,122,000 984,000 4,083,000    1,090,000 1,096,000 1,083,000 1,029,000 1,024,000 1,028,000  1,132,000 1,058,000 974,000 3,997,000 973,000 916,000    694,847,000 795,000 779,000 
  income tax (benefit) expense                                                                             
  loans receivable, excluding covered loans                                            17,053,444,000 15,412,715,000 13,264,215,000 12,119,903,000 11,710,190,000 10,916,386,000 10,555,654,000 10,264,826,000 9,101,174,000 8,566,504,000 8,430,199,000                       
  benefit from (reversal of) loan losses, excluding covered loans                                            7,954,000                                 
  (reversal of) benefit from loan losses on covered loans                                                                             
  noninterest loss                                                                             
  decrease in fdic indemnification asset and receivable                                             -228,585,000       -18,806,000 -17,443,000 -83,213,000                       
  net gain on sales of investment securities                                            3,418,000 12,089,000 5,345,000 5,577,000 757,000 93,000 71,000 483,000 1,117,000 2,515,000 31,237,000                       
  net gain on sales of loans                                            6,196,000 7,750,000  94,000 17,045,000 5,346,000 6,375,000 5,179,000 5,891,000 7,410,000 18,515,000                    16,172,000 232,000 25,000 
  amortization of investments in affordable housing partnerships and other investments                                            5,964,000 27,268,000 5,064,000 4,283,000 18,058,000 3,378,000 4,425,000 4,466,000                          
  other real estate owned expense                                            1,334,000    22,349,000 2,683,000 4,486,000 10,865,000 14,585,000 10,664,000 61,568,000    767,000 8,682,000 7,031,000                 
  income before benefit from income taxes                                            111,690,000 425,850,000 111,870,000 106,510,000 425,592,000 105,203,000 104,394,000 107,795,000 95,730,000 86,580,000          7,642,000  67,704,000 66,468,000 68,780,000 233,781,000 58,074,000 59,894,000    3,180,124,811,000 27,726,000 26,034,000 
  preferred stock, 0.001 par value, 5,000,000 shares authorized; series a, non-cumulative convertible, 200,000 shares issued; no shares outstanding as of december 31, 2013 and 85,710 shares outstanding in 2012.                                                                             
  benefit from loan losses, excluding covered loans                                             18,336,000 8,277,000  60,168,000 13,321,000                            
  net gain on sale of fixed assets                                             1,521,000 228,000  4,275,000 40,000 37,000                           
  other real estate owned (gain on sale) expense                                             -1,128,000                                
  prepayment penalty for fhlb advances and other borrowings                                                6,860,000 42,000                            
  deposit-related expenses                                             6,536,000   6,007,000  1,657,000 1,427,000 1,373,000 1,159,000 4,750,000    948,000 1,014,000 901,000 1,231,000 1,237,000 948,000  1,687,000 1,862,000 1,687,000 9,244,000 2,365,000 2,642,000    1,253,980,000 1,168,000 968,000 
  preferred stock, 0.001 par value, 5,000,000 shares authorized; series a, non-cumulative convertible, 200,000 shares issued; no shares outstanding as of june 30, 2013 and 85,710 shares outstanding in 2012.                                                                             
  prepayment penalty for fhlb advances                                                  2,336,000 1,321,000 4,433,000 4,022,000 13,832,000                       
  preferred stock, 0.001 par value, 5,000,000 shares authorized; series a, non-cumulative convertible, 200,000 shares issued and 85,710 shares outstanding in 2013 and 2012                                               83,027,000                              
  (reversal of) benefit from loan losses, excluding covered loans                                                                             
  preferred stock, 0.001 par value, 5,000,000 shares authorized; series a, non-cumulative convertible, 200,000 shares issued and 85,710 shares outstanding in 2012 and 2011.                                                83,027,000 83,027,000 83,027,000 83,027,000                          
  gain on acquisition                                                      22,874,000                       
  preferred stock dividends amortization of preferred stock discount                                                6,857,000                             
  federal funds sold                                                 20,000,000 30,000,000 30,000,000                          
  provision (reversal) for loan losses on covered loans                                                 5,179,000                            
  loan-related expenses                                                  4,175,000 4,481,000 4,284,000 3,099,000                        
  letters of credit fees and comissions                                                   4,275,000                          
  liabilities and stockholders' equity                                                                             
  notes payable and other borrowings                                                    110,250,000 80,031,000 60,686,000                       
  stockholders' equity                                                       2,360,025,000 2,310,623,000 2,293,712,000               597,112,000     
  preferred stock, 0.001 par value, 5,000,000 shares authorized; series a, non-cumulative convertible, 200,000 shares issued and 85,710 and 85,741 shares outstanding in 2011 and 2010, respectively.                                                    83,027,000                         
  total stockholders' equity                                                    2,229,332,000 2,157,917,000 2,113,931,000                       
  net gain on sales of fixed assets                                                    2,169,000                         
  amortization of investments in affordable housing partnerships                                                    4,598,000 4,525,000 10,032,000    1,709,000 1,652,000 1,760,000 1,886,000 1,920,000 1,715,000  1,017,000 1,236,000 1,268,000 5,441,000 1,555,000 1,461,000    17,841,792,000 1,920,000 1,855,000 
  preferred stock dividends and amortization of preferred stock discount                                                    1,714,000 1,715,000                        
  preferred stock, 0.001 par value, 5,000,000 shares authorized; series a, non-cumulative convertible, 200,000 shares issued and 85,710 and 85,741 shares outstanding in 2011 and 2010, respectivly.                                                     83,027,000                        
  preferred stock, 0.001 par value, 5,000,000 shares authorized; series a, non-cumulative convertible, 200,000 shares issued and 85,741 shares outstanding in 2010 and 2009; series b, cumulative, 306,546 shares issued and outstanding in 2009; series c, cumulative convertible, 335,047 shares issued and outstanding in 2009.                                                      83,058,000                       
  amortization and impairment writedowns of premiums on deposits acquired                                                      13,283,000       1,581,000 1,827,000 2,737,000              
  income before benefit for income taxes                                                      255,909,000                       
  benefit for income taxes                                                      91,345,000                       
  net income before extraordinary items                                                      164,564,000                       
  extraordinary item, net of tax                                                                             
  net income after extraordinary items                                                      164,564,000                       
  preferred stock dividends amortization of preferred stock discount, and inducement of preferred stock conversion                                                      43,126,000                       
  interest-earning assets:                                                                             
  short-term investments and interest-bearing                                                                             
  deposits in other banks                                                       73,665,823,621,270                      
  investment securities held-to-maturity:                                                                             
  taxable                                                       2,482,951,157,252,510 2,202,676,147,412,680.2 2,181,248,201,473,750                    
  tax-exempt                                                         4,627,433,720                    
  investment securities available-for-sale:                                                                             
  loans receivable                                                       84,990,481,160,295,420 85,566,801,169,165,490 86,147,421,220,285,730              381,327,000 5,935,822,981,106,560     
  loans receivable - covered                                                       5,105,793,940,577,310 51,378,631,168,679,120 536,932,816,591,612,500                    
  fhlb and frb stock                                                       2,194,168,171,490 2,244,738,771,570 2,217,057,791,410              2,767,000 608,826,944,520     
  total interest-earning assets                                                       176,920,022,314,005,200 175,257,962,535,335,800 179,409,333,187,177,180              411,399,000 67,305,191,062,876,270     
  noninterest-earning assets:                                                                             
  allowance for loan losses                                                       -253,078,000 -255,904,000 -253,482,000               -59,976,000     
  total assets                                                       20,097,142,000 19,886,269,000 20,398,717,000               7,077,746,000     
  interest-bearing liabilities:                                                                             
  checking accounts                                                       7,312,675,500,300 6,639,365,270,320 6,360,396,140,390              2,943,000 3,385,236,620,780     
  money market accounts                                                       416,284,771,030,680 396,829,383,360,840 346,423,479,660,930              15,785,000 73,382,541,622,250     
  savings deposits                                                       9,609,278,180,340 96,137,412,740,530 99,218,611,420,470              953,000 3,373,702,670,310     
  time deposits                                                       6,719,637,200,281,180 6,714,972,189,951,130 7,315,789,237,261,320                    
  subordinated debt and trust preferred securities                                                       23,557,016,852,800 23,557,015,912,710 23,557,015,472,630                    
  total interest-bearing liabilities                                                       14,910,922,485,951,290 14,874,635,499,101,350 15,763,168,569,791,470              131,284,000 5,185,614,347,052,660     
  noninterest-bearing liabilities:                                                                             
  demand deposits                                                       2,436,031,000 2,300,228,000 2,222,104,000               1,208,118,000     
  other liabilities                                                       390,164,000 400,783,000 119,733,000               86,902,000     
  total liabilities and stockholders' equity                                                       20,097,142,000 19,886,269,000 20,398,717,000               7,077,746,000     
  interest rate spread                                                       3,900 4,450 5,730               3,610     
  net interest income and net interest margin                                                       1,828,054,100 2,036,234,660 2,617,385,920              280,115,000 715,824,220     
  short-term investments and interest bearing deposits in other banks                                                        94,836,115,020,640 128,996,435,411,110                    
  interest-bearing deposits in other banks                                                          320,860,000           99,000 663,000    596,000 594,000 594,000 
  investment securities held-to-maturity, at amortized cost                                                          781,331,000 794,840,000 734,799,000                 
  loans receivable, net of allowance for loan losses of 230,650 at september 30, 2009 and 178,027 at december 31, 2008                                                          8,156,838,000                   
  deferred tax assets                                                          156,047,000 163,105,000 182,484,000 175,591,000 169,499,000 136,461,000  44,769,000 36,287,000 32,143,000 38,691,000 38,106,000 35,564,000     15,574,000 11,273,000 
  accrued interest receivable and other assets                                                          224,074,000 171,613,000 139,193,000 113,835,000 125,938,000 126,527,000  168,549,000 132,316,000 112,316,000 121,264,000 113,635,000 94,959,000    56,751,000 49,930,000 32,538,000 
  total customer deposits                                                          8,668,557,000 8,658,818,000 8,454,059,000 7,536,349,000 7,519,002,000               
  notes payable                                                          7,111,000 11,578,000 14,597,000 12,150,000 13,533,000 17,527,000  14,911,000 15,952,000 13,799,000 11,379,000 6,460,000 4,646,000    6,913,000 1,592,000 1,892,000 
  accrued interest payable, accrued expenses and other liabilities                                                          101,808,000 135,537,000 89,866,000 96,983,000 104,707,000 107,928,000  114,068,000 92,535,000 113,993,000 102,877,000 86,994,000 85,613,000       
  preferred stock, 0.001 par value, 5,000,000 shares authorized; series a, non-cumulative convertible, 200,000 shares issued and 85,741 shares outstanding in 2009 and 196,505 shares outstanding in 2008; series b, cumulative, 306,546 shares issued and outstanding in 2009 and 2008.                                                          367,922,000                   
  investment securities held-to-maturity                                                          12,060,000 12,135,000 6,882,000                 
  investment securities available-for-sale                                                          16,425,000 18,183,000 22,493,000 23,143,000 25,730,000 27,050,000  26,235,000 23,370,000 22,900,000 60,607,000 17,860,000 12,949,000  71,166,071,814,000   3,415,000 3,813,000 
  net gain on sale of investment securities                                                          2,177,000 1,680,000                  
  net gain on sale of loans                                                          8,000 3,000 8,000 144,000 273,000 1,855,000              
  loan-related expense                                                          2,197,000 1,642,000 1,435,000                 
  amortization and impairment loss on premiums on deposits acquired                                                          1,069,000 1,092,000                  
  impairment loss on goodwill                                                                             
  net income before extraordinary item                                                                             
  impact of desecuritization                                                           5,366,000                  
  net income after extraordinary item                                                                             
  preferred stock dividends, inducement, and amortization of preferred stock discount                                                                             
  loss per share available to common stockholders                                                                             
  loans receivable, net of allowance for loan losses of 223,700 at june 30, 2009 and 178,027 at december 31, 2008                                                           8,289,229,000                  
  preferred stock, 0.001 par value, 5,000,000 shares authorized; series a, non-cumulative convertible, 200,000 shares issued and 196,505 shares outstanding in 2009 and 2008; series b, cumulative, 306,546 shares issued and outstanding in 2009 and 2008.                                                           474,425,000 473,340,000                 
  loans receivable, net of allowance for loan losses of 195,450 at march 31, 2009 and 178,027 at december 31, 2008                                                            7,865,925,000                 
  net gain on sale of investment securities available-for-sale                                                            3,521,000  3,433,000               
  amortization and impairment writedown of premiums on deposits acquired                                                            1,125,000                 
  (benefit) benefit from income taxes                                                                             
  preferred stock dividends & amortization of preferred stock discount                                                            8,743,000                 
  loans receivable, net of allowance for loan losses of 177,155 at september 30, 2008 and 88,407 at december 31, 2007                                                             8,111,231,000                
  preferred stock (par value of 0.001 per share) authorized — 5,000,000 shares issued — 200,000 shares in series a, convertible preferred stock in 2008 and none in 2007 outstanding —197,400 shares in 2008 and none in 2007                                                                             
  common stock (par value of 0.001 per share) authorized — 200,000,000 shares issued — 70,223,189 shares in 2008 and 69,634,811 shares in 2007 outstanding — 63,623,131 shares in 2008 and 63,137,221 shares in 2007                                                             70,000                
  impairment writedown on investment securities                                                              9,945,000               
  net gain on disposal of fixed assets                                                             44,000    1,261,000 312,000           
  loan related expense                                                             2,361,000                
  impairment writedown on goodwill                                                             272,000 586,000               
  short term investments                                                              880,000               
  loans receivable, net of allowance for loan losses of 168,413 at june 30, 2008 and 88,407 at december 31, 2007                                                              8,483,124,000               
  preferred stock                                                                             
  authorized — 5,000,000 shares                                                                             
  issued and outstanding — 200,000 shares of series a, convertible preferred stock, in 2008 and none in 2007                                                                             
  authorized — 200,000,000 shares                                                                             
  issued — 70,002,157 shares in 2008 and 69,634,811 shares in 2007                                                                             
  outstanding — 63,438,596 shares in 2008 and 63,137,221 shares in 2007                                                              70,000               
  loans receivable, net of allowance for loan losses of 117,120 in 2008 and 88,407 in 2007                                                               8,726,556,000              
  issued — 69,889,738 shares in 2008 and 69,634,811 shares in 2007                                                                             
  outstanding — 63,356,285 shares in 2008 and 63,137,221 shares in 2007                                                               70,000              
  net gain on investment securities available-for-sale                                                               4,334,000    1,528,000 2,537,000         
  net gain on sale of other real estate owned                                                                   1,344,000          
  common stock (par value of 0.001 per share) authorized—200,000,000 shares issued—69,634,811 shares in 2007 and 66,400,417 shares in 2006 outstanding—63,137,221 shares in 2007 and 61,431,278 shares in 2006                                                                             
  loans receivable, net of allowance for loan losses of 84,565 in 2007 and 78,201 in 2006                                                                 8,466,796,000            
  authorized – 200,000,000 shares                                                                             
  issued – 69,397,930 shares in 2007 and 66,400,417 shares in 2006                                                                             
  outstanding – 62,949,094 shares in 2007 and 61,431,278 shares in 2006                                                                 69,000            
  net gain on sales of investment securities available-for-sale                                                                 2,772,000 918,000   676,000 145,000    678,398,000  1,194,000 
  income from secondary market activities                                                                 272,000 86,000 938,000 698,000 123,000 189,000    152,170,000 98,000 755,000 
  net gain on sale of real estate owned                                                                             
  loans receivable, net of allowance for loan losses of 77,280 in 2007 and 78,201 in 2006                                                                  7,949,179,000           
  common stock (par value of 0.001 per share) authorized — 200,000,000 shares issued — 67,068,809 shares in 2007 and 66,400,417 shares in 2006 outstanding — 60,847,943 shares in 2007 and 61,431,278 shares in 2006                                                                  67,000           
  loans receivable, net of allowance for loan losses of 75,970 in 2007 and 78,201 in 2006                                                                   7,943,982,000          
  issued — 66,746,112 shares in 2007 and 66,400,417 shares in 2006                                                                             
  outstanding — 60,956,037 shares in 2007 and 61,431,278 shares in 2006                                                                   67,000          
  loans receivable, net of allowance for loan losses of 78,201 in 2006 and 68,635 in 2005                                                                    8,182,172,000         
  authorized—200,000,000 shares                                                                             
  issued—66,400,417 shares in 2006 and 61,419,622 shares in 2005                                                                             
  outstanding—61,431,278 shares in 2006 and 56,519,438 shares in 2005                                                                    66,000         
  deferred compensation                                                                          -3,264,000   
  loans receivable, net of allowance for loan losses of 79,096 in 2006 and 68,635 in 2005                                                                     8,363,680,000        
  common stock (par value of 0.001 per share) authorized — 200,000,000 shares issued — 66,144,383 shares in 2006 and 61,419,622 shares in 2005 outstanding —61,206,684 shares in 2006 and 56,519,438 shares in 2005                                                                     66,000        
  loans receivable, net of allowance for loan losses of 75,847 in 2006 and 68,635 in 2005                                                                      7,793,273,000       
  issued – 65,785,311 shares in 2006 and 61,419,622 shares in 2005                                                                             
  outstanding – 60,857,655 shares in 2006 and 56,519,438 shares in 2005                                                                      66,000       
  securities purchased under resale agreement                                                                       1,118,000      
  time deposits less than 100,000                                                                       20,149,000 85,349,749,152,280     
  time deposits 100,000 or greater                                                                       53,756,000 1,842,909,152,693,290     
  nonnterest-bearing liabilities:                                                                             
  net income, as reported                                                                         25,463,000    
  add: stock-based employee compensation expense included                                                                             
  in reported net income, net of related tax effects                                                                         414,000    
  deduct: total stock-based employee compensation expense                                                                             
  determined under fair value based method for all awards                                                                             
  subject to sfas no. 123, net of related tax effects                                                                         -1,046,000    
  net income, pro forma                                                                         24,831,000    
  basic earnings per share                                                                         25,463,000 400 360 690 
  as reported                                                                         490    
  pro forma                                                                         470    
  diluted earnings per share                                                                          390 350 670 
  expected dividend yield                                                                         700    
  expected volatility                                                                         30,100    
  risk-free interest rate                                                                         2,300    
  expected lives                                                                         3,500    
  effect of dilutive securities:                                                                             
  stock options                                                                             
  restricted stock                                                                             
  stock warrants                                                                             
  dilutive earnings per share                                                                         25,463,000    
  interest income                                                                         29,929,000    
  charge for funds used                                                                         -16,674,000    
  interest spread on funds used                                                                         13,255,000    
  credit on funds provided                                                                         29,618,000    
  interest spread on funds provided                                                                         16,993,000    
  net interest income                                                                         30,248,000    
  depreciation and amortization                                                                         1,206,000    
  segment pretax profit                                                                         16,346,000    
  segment assets as of june 30, 2005                                                                         1,534,725,000    
  segment assets as of june 30, 2004                                                                         1,390,916,000    
  loans receivable, net of allowance for loan losses of 46,902 in 2004 and 39,246 in 2003                                                                          4,672,851,000   
  premiums on deposits acquired, net, and other intangible assets                                                                          8,326,000 8,528,000  
  deferred tax assets—federal                                                                          14,565,000   
  deferred tax liabilities—state                                                                          49,000   
  junior subordinated debt                                                                          42,012,000 42,012,000 31,702,000 
  common stock (par value of 0.001 per share) authorized—100,000,000 shares issued—57,174,552 shares and 53,691,638 shares in 2004 and 2003, respectively outstanding—52,318,866 shares and 48,857,450 shares in 2004 and 2003, respectively                                                                          57,000   
  investment securities available for sale                                                                          35,633,577,000   
  federal home loan bank stock                                                                          487,100,000 248,000 254,000 
  federal reserve bank stock                                                                          25,000   
  net gain on fixed assets                                                                          91,113,000   
  net occupancy                                                                          31,462,631,000 2,854,000 2,694,000 
  average number of shares outstanding—basic                                                                          5,121,048,138,000 50,063,000 24,569,000 
  average number of shares outstanding—diluted                                                                          5,288,449,600,000 51,675,000 25,347,000 
  loans receivable, net of allowance for loan losses of 43,999 in 2004 and 39,246 in 2003                                                                           4,029,266,000  
  common stock (par value of 0.001 per share) authorized—100,000,000 shares issued—55,158,720 shares and 53,691,638 shares in 2004 and 2003, respectively outstanding—50,308,122 shares and 48,857,450 shares in 2004 and 2003, respectively                                                                           28,000  
  loans receivable, net of allowance for loan losses of 42,268 in 2004 and 39,246 in 2003                                                                            3,601,743,000 
  goodwill and other intangible assets                                                                            30,684,000 
  authorized—50,000,000 shares                                                                             
  issued—27,512,816 shares and 26,845,819 shares in 2004 and 2003, respectively                                                                             
  outstanding—25,093,552 shares and 24,428,725 shares in 2004 and 2003, respectively                                                                            28,000 

We provide you with 20 years of balance sheets for East West Bancorp stock, allowing you to gain comprehensive visibility into the fundamentals of the company. Our detailed breakdowns include key financial metrics such as asset and liabilities, payables and receivables, long debts and short debts, cash and inventories, expenses and profits. This in-depth information is essential for making informed investment decisions and understanding the financial health and performance of East West Bancorp. Explore the full financial landscape of East West Bancorp stock with our expertly curated balance sheets.

The information provided in this report about East West Bancorp stock is taken from www.sec.gov and many other data providers. While we have conducted our best efforts to ensure that the parsed data is accurate, we cannot guarantee its accuracy. Please use caution and understand that any consequences of its use are your own responsibility.