7Baggers

East West Bancorp Quarterly Cash Flow Statements Chart

Quarterly
 | 
Annual
 
 Operating Cash Flow  
 Investing Cash Flow  
 Financing Cash Flow  
20200930 20201231 20210331 20210630 20210930 20211231 20220331 20220630 20220930 20221231 20230331 20230630 20230930 20231231 20240331 20240630 20240930 20241231 20250331 20250630 098.19196.39294.58392.78490.98589.17687.37Milllion

East West Bancorp Quarterly Cash Flow Statements 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 2014-12-31 2014-03-31 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 2007-09-30 2007-06-30 2007-03-31 2006-12-31 2006-09-30 2006-06-30 2006-03-31 2005-12-31 2005-09-30 2004-09-30 2004-06-30 2004-03-31 
                                                                          
  cash flows from operating activities                                                                        
  net income310,253,000 290,270,000 293,115,000 299,166,000 288,230,000 285,075,000 238,953,000 287,738,000 312,031,000 322,439,000 336,763,000 295,339,000 258,329,000 237,652,000 217,796,000 225,449,000 224,742,000 204,994,000 164,084,000 159,537,000 99,352,000 144,824,000 188,215,000 171,416,000 150,380,000 164,024,000 173,018,000 171,302,000 172,349,000 187,032,000 84,898,000 132,660,000 118,330,000 169,736,000 110,734,000 110,143,000 103,284,000 107,516,000 91,805,000 94,097,000 92,998,000 76,741,000 74,015,000 72,091,000 71,900,000 71,110,000 70,557,000 68,083,000 60,525,000 56,071,000   36,348,000 24,916,000   -22,466,000 -31,206,000 -25,887,000 5,044,000 41,336,000 40,490,000 42,096,000 39,111,000 35,562,000 36,645,000 32,051,000 30,815,000 28,583,000 20,399,000 18,029,000 16,945,000 
  adjustments to reconcile net income to net cash from operating activities:                                                                        
  benefit from credit losses45,000,000 49,000,000 70,000,000 42,000,000 37,000,000 25,000,000  42,000,000 26,000,000 20,000,000    8,000,000     24,340,000 10,000,000 102,443,000 73,870,000 18,577,000 38,284,000 19,245,000 22,579,000 17,959,000 10,542,000 15,536,000 20,218,000 15,517,000 12,996,000 10,685,000 7,068,000 10,461,000 9,525,000 6,053,000 1,440,000 -2,000,000                                  
  depreciation, amortization and accretion81,338,000 49,440,000                                                                       
  stock compensation costs13,294,000 13,186,000 11,164,000 10,717,000 10,666,000 12,988,000 9,933,000 9,495,000 9,364,000 11,075,000 8,263,000 12,329,000 8,576,000 8,433,000 8,520,000 8,022,000 8,208,000 7,817,000 7,036,000 7,921,000 7,071,000 7,209,000 7,749,000 7,487,000 8,081,000 7,444,000 6,736,000 10,986,000 7,057,000 6,158,000 8,877,000   5,151,000 8,129,000 4,763,000 4,635,000 4,575,000 4,800,000 4,050,000 3,501,000 3,180,000 3,394,000 2,504,000 1,101,000 4,364,000 4,136,000 3,637,000 3,283,000 2,287,000 2,597,000 2,288,000 2,429,000 1,447,000 1,462,000 1,480,000 1,428,000 1,499,000 1,459,000 1,557,000 1,741,000 1,662,000 1,488,000 1,448,000   1,456,000   362,000 339,000 319,000 
  deferred income tax benefit-1,835,000 -22,453,000           -471,000 -7,083,000 3,975,000 -1,784,000 2,347,000 224,000 -41,424,000 20,000                                                     
  net gains on afs debt securities-746,000 -131,000                                                                       
  other real estate owned (“oreo”) write-downs4,221,000                                                                       
  loans held-for-sale:                                                                        
  originations                                                                        
  proceeds from sales and paydowns/payoffs of loans originally classified as held-for-sale  391,000 1,637,000 992,000     461,000 1,215,000 984,000 2,709,000 7,644,000 30,320,000 31,953,000 13,729,000 4,657,000 4,095,000 2,709,000 1,178,000 2,454,000                                               
  net change in accrued interest receivable and other assets-137,158,000 11,999,000 4,946,000 65,437,000 -82,455,000 75,815,000 215,054,000 -87,787,000 -198,374,000 -75,163,000 130,554,000 185,029,000 -46,443,000 -81,628,000 203,145,000 -4,840,000 -259,486,000 185,677,000 125,342,000 -8,836,000 6,392,000 -462,766,000 192,368,000 -213,033,000 -122,515,000 -27,639,000 -22,627,000 -5,938,000 -46,691,000 14,465,000 -59,724,000 11,177,000 1,051,000 93,501,000 26,407,000 3,012,000 -6,639,000 2,057,000 -57,686,000 -105,578,000  25,984,000       -155,288,000 26,138,000 -191,377,000 98,225,000 135,167,000 44,994,000    -653,000 8,666,000 17,742,000       -12,112,000 2,501,000 23,268,000    
  net change in accrued expenses and other liabilities-26,925,000 -117,443,000 53,111,000 -72,569,000 -45,253,000 -177,732,000 93,663,000 67,275,000 38,314,000 -93,948,000 -123,270,000 127,359,000 374,254,000 83,042,000 -59,591,000 74,292,000 28,822,000 -72,935,000 -46,589,000 -40,405,000 -47,283,000 304,680,000 -70,681,000 67,373,000 71,126,000 -60,806,000 -3,966,000 48,020,000 44,586,000 -570,000 -97,398,000 110,418,000 22,805,000 -37,791,000 -3,864,000 -13,100,000 -25,640,000 57,957,000 -22,372,000 36,012,000    20,557,000    40,427,000 171,158,000 -15,143,000 -5,171,000 10,211,000 9,726,000 142,509,000              5,561,000 858,000    
  other operating activities-4,331,000 -203,000 1,474,000 582,000 -5,051,000 -760,000 5,064,000 -921,000 1,638,000 -1,921,000                                                               
  total adjustments-31,585,000 -12,384,000 207,018,000 86,957,000 -29,058,000 -18,836,000 322,734,000 94,116,000 -53,564,000 -99,538,000 112,840,000 392,026,000 384,840,000 48,233,000 204,795,000 116,571,000 -192,446,000 166,521,000 98,627,000 161,000 79,861,000 -53,121,000 158,595,000 -72,398,000 380,000 -24,783,000 16,838,000 87,147,000 44,664,000 30,822,000 -52,975,000 152,070,000 76,646,000 15,541,000 113,518,000 36,158,000 -15,531,000 76,034,000 -43,768,000 38,030,000   3,321,000 8,309,000     121,119,000 102,239,000 126,141,000 -108,889,000 451,076,000 236,304,000 95,103,000 213,309,000 62,992,000 72,809,000 56,285,000 67,256,000   12,698,000    -3,220,000 9,600,000 26,754,000   7,909,000 
  net cash from operating activities278,668,000 277,886,000 500,133,000 386,123,000 259,172,000 266,239,000 561,687,000 381,854,000 258,467,000 222,901,000 449,603,000 687,365,000 643,169,000 285,885,000 422,591,000 342,020,000 32,296,000 371,515,000 262,711,000 159,698,000 179,213,000 91,703,000 346,810,000 99,018,000 150,760,000 139,241,000 189,856,000 258,449,000 217,013,000 217,854,000 31,923,000 284,730,000 194,976,000 185,277,000 224,252,000 146,301,000 87,753,000 183,550,000 48,037,000 132,127,000 149,654,000 36,468,000 77,336,000 80,400,000 130,963,000 130,771,000 -34,229,000 60,021,000 181,644,000 158,310,000 182,490,000 -61,938,000 487,424,000 261,220,000 26,572,000 121,218,000 40,526,000 41,603,000 30,398,000 72,300,000 99,850,000 6,085,000 54,794,000 43,696,000 18,415,000 30,529,000 28,831,000 40,415,000 55,337,000 38,245,000 -335,000 24,854,000 
  cash flows from investing activities                                                                        
  net increase in:                                                                        
  affordable housing partnership, tax credit and cra investments-77,282,000 -75,519,000 -153,477,000 -74,611,000 -43,681,000 -106,536,000                                                                   
  interest-bearing deposits with banks-71,498,000 15,458,000 66,923,000 -91,049,000 26,000 -14,252,000 6,793,000 -44,000 -6,998,000 128,772,000 491,515,000 82,037,000 103,075,000 -79,633,000 68,687,000 25,110,000 -49,534,000 29,000,000 -209,636,000 -52,474,000 -200,078,000 -115,419,000 -11,019,000 -17,913,000 -22,988,000 245,375,000 29,137,000 -53,450,000 99,728,000 -71,203,000 11,158,000 -105,314,000 -44,080,000 75,140,000                                       
  afs debt securities:                                                                        
  proceeds from sales210,062,000 108,232,000 67,443,000 108,527,000 715,664,000 537,195,000     25,236,000 103,945,000 71,845,000 72,069,000 118,501,000 46,397,000 30,556,000 10,497,000 177,917,000 306,463,000 150,879,000 101,129,000 223,763,000 151,339,000                                               
  proceeds from repayments, maturities and redemptions1,039,487,000 663,906,000 473,519,000 265,844,000 229,945,000 577,750,000 593,442,000 254,269,000 301,195,000 321,913,000 184,776,000 98,706,000 166,943,000 446,301,000 419,345,000 469,716,000 403,315,000 473,808,000 537,720,000 683,778,000 540,013,000 308,620,000 871,028,000 166,649,000 61,613,000 55,712,000                                               
  purchases-1,331,157,000 -2,236,267,000     -200,000,000 -12,725,000 -131,518,000 -27,096,000 -73,212,000 -158,251,000 -41,781,000 -488,879,000 -421,547,000 -923,990,000 -300,000,000 487,130,000 -987,130,000 -200,000,000 -100,000,000 44,805,000 -69,805,000                                               
  htm debt securities:                                                                        
  loans held-for-investment:                                                                        
  proceeds from sales of loans originally classified as held-for-investment90,342,000 36,206,000 12,524,000 326,108,000 134,549,000 241,907,000 183,806,000 225,245,000 123,574,000 179,237,000 149,410,000 127,502,000 190,296,000 135,517,000 189,984,000 167,886,000 101,425,000 147,115,000 77,829,000 110,020,000 33,070,000 110,945,000 64,161,000 54,488,000 77,287,000 92,887,000                                               
  other changes in loans held-for-investment-521,003,000 -346,052,000 -302,731,000 -476,730,000 -672,208,000 110,120,000 -1,372,453,000 -1,144,959,000 -953,514,000 -695,646,000 -841,170,000 -1,035,628,000 -2,941,794,000 -1,697,590,000 -1,079,427,000 -408,179,000 -343,105,000 -1,046,727,000 -782,355,000 -299,925,000 -1,358,731,000 -1,116,358,000 -675,680,000 -313,141,000 -786,164,000 -409,930,000                                               
  proceeds from sales of oreo15,729,000 8,695,000                                                                       
  proceeds from paydowns and maturities of resale agreements                                                                        
  purchases of fhlb stock  -29,000 616,000 -372,000 -84,294,000                                                                   
  other investing activities428,000 -1,622,000 -2,779,000 -4,873,000 -3,206,000 -3,846,000 -6,778,000 -99,088,000 331,000 -6,501,000                                                               
  net cash from investing activities-934,213,000 -2,035,470,000 -1,515,651,000 -1,495,258,000 -1,412,718,000 -1,871,576,000 -1,349,539,000 -1,557,375,000 -707,401,000 -632,846,000 -332,562,000 -274,921,000 -2,292,895,000 -1,682,514,000 -1,299,318,000 -2,215,437,000 -1,218,540,000 -4,383,909,000 -2,453,518,000 -884,585,000 -2,105,283,000 -1,405,330,000 -702,358,000 -871,667,000 -878,470,000 -118,681,000 -1,178,277,000 -1,178,572,000 -435,245,000 -1,040,318,000 -434,247,000 -1,422,502,000 -431,303,000 -212,403,000 -1,319,391,000 -423,588,000 -380,207,000 330,526,000 -1,950,885,000 -878,367,000      -925,955,000 923,240,000 424,329,000 -486,106,000 -354,071,000 -215,371,000 -615,579,000 433,449,000 533,567,000    118,259,000 76,984,000 69,208,000  -121,604,000 142,611,000    -83,891,000 -324,326,000 -259,567,000    
  cash flows from financing activities                                                                        
  net change in deposits1,970,399,000 -126,497,000 1,517,006,000 1,669,917,000 1,446,395,000 2,475,059,000  -578,080,000 983,902,000 -1,246,189,000                                                            297,686,000 177,215,000 332,527,000 
  net change in short-term borrowings  -19,173,000 -4,480,827,000  4,500,017,000                                                               
  fhlb advances:                                                                        
  proceeds  400,000 500,000,000 3,500,000,000 6,000,000,000 350,000,000 650,200,000 3,949,900,000 100,000     100,000 100,000    1,200,000,000 300,000,000                                               
  repayments                                                                        
  repayment of lease liabilities and junior subordinated debt-210,000 -209,000                                                                       
  common stock:                                                                        
  proceeds from issuance pursuant to various stock compensation plans and agreements  1,443,000   1,645,000    1,734,000   1,393,000   1,156,000   1,488,000 1,000                                                 
  stock tendered for payment of withholding taxes-311,000 -17,747,000 -866,000 -95,000 -214,000 -13,702,000 -537,000 -186,000 -1,237,000 -21,791,000              -61,000                                                 
  repurchase of common stock pursuant to the stock repurchase program-3,693,000 -85,442,000                    -145,966,000                                                   
  cash dividends paid-82,750,000 -85,893,000 -76,346,000 -76,265,000 -76,563,000 -79,304,000 -67,706,000 -67,934,000 -68,138,000 -70,776,000 -56,390,000 -56,368,000 -56,723,000 -58,900,000 -46,851,000 -46,851,000 -46,847,000 -48,213,000 -39,037,000 -38,914,000 -38,913,000 -41,358,000 -40,121,000 -40,037,000 -40,033,000 -34,916,000                                               
  net cash from financing activities1,615,045,000 -45,677,000 1,421,165,000 1,593,351,000 1,311,023,000 1,201,987,000 835,812,000 -644,853,000 914,309,000 2,857,186,000 1,194,624,000 -129,593,000 -282,408,000 1,331,587,000 -68,398,000 730,672,000 2,697,496,000 4,475,275,000 1,651,693,000 729,580,000 3,408,492,000 1,119,028,000 591,739,000 205,339,000 578,514,000 749,370,000 1,767,461,000 860,732,000 228,201,000 944,414,000 828,974,000 110,925,000 548,090,000 580,471,000 1,314,786,000 351,840,000 -376,107,000 389,841,000 1,390,581,000 752,527,000 161,012,000 1,026,758,000 211,941,000 491,245,000     409,971,000 355,927,000 241,586,000 350,767,000 -915,664,000 -449,193,000 -147,170,000 155,730,000 153,608,000       -47,185,000 746,511,000 701,033,000 37,594,000 298,269,000 223,786,000 368,962,000 276,392,000 547,409,000 
  effect of exchange rate changes on cash and cash equivalents2,157,000 803,000 -14,978,000 10,166,000 -2,587,000 -833,000 5,846,000 3,665,000 -21,682,000 5,169,000 6,766,000 -21,551,000 -14,513,000 807,000 5,159,000 -2,159,000 -132,580,000 138,281,000 50,144,000 -31,254,000 -28,962,000 13,492,000 -17,323,000 -12,023,000 -14,515,000 14,018,000 3,550,000 -19,293,000 -27,436,000 18,396,000 11,193,000 11,120,000 6,070,000 2,795,000 -7,976,000 -517,000 -3,940,000 493,000 -2,549,000          67,000 -1,193,000 1,607,000                      
  net decrease in cash and cash equivalents961,657,000 -1,802,458,000                                                                       
  cash and cash equivalents, beginning of period5,250,742,000  4,614,984,000  3,481,784,000  3,912,935,000  4,017,971,000  3,261,149,000  3,001,377,000  2,174,592,000  1,878,503,000  1,360,887,000    895,820,000 1,323,106,000  1,431,185,000 1,333,949,000  835,141,000 878,853,000 160,347,000 192,559,000  151,192,000  141,589,000 
  cash and cash equivalents, end of period961,657,000 3,448,284,000  494,382,000 154,890,000 4,210,801,000  -1,816,709,000 443,693,000 5,934,194,000  261,300,000 -1,946,647,000 3,848,700,000  -1,144,904,000 1,378,672,000 4,619,133,000  -26,561,000 1,453,460,000 3,080,042,000  -579,333,000 -163,711,000 3,785,325,000  -78,684,000 -17,467,000 2,314,938,000  -1,015,727,000 317,833,000 2,434,643,000  74,036,000 -672,501,000 2,265,297,000    1,884,855,000 -686,651,000 1,736,865,000  -613,242,000 793,760,000 1,635,854,000 105,576,000 1,492,922,000  -326,250,000 5,209,000 1,180,735,000 20,120,000 32,048,000 541,066,000 103,416,000 159,039,000 265,019,000 -23,256,000 43,561,000 146,977,000  35,048,000 3,583,000 133,726,000  19,556,000 -51,111,000 -220,683,000 382,425,000 
  supplemental cash flow information:                                                                        
  cash paid during the period for:                                                                        
  interest439,613,000 434,683,000 473,840,000 502,103,000 481,586,000 600,438,000 361,004,000 347,541,000 277,270,000 227,504,000 142,441,000 62,089,000 24,176,000 20,881,000 16,851,000 18,605,000 22,548,000 29,680,000                       27,161,000 27,803,000 29,451,000 28,885,000 31,931,000 30,891,000 39,798,000 34,140,000 46,275,000 46,347,000 46,964,000 49,993,000 55,353,000 54,396,000 52,674,000 60,010,000 71,370,000 72,633,000 71,460,000 87,624,000 94,489,000 89,500,000 89,228,000 84,876,000 77,568,000 65,983,000 56,784,000 42,085,000 32,204,000 13,481,000 10,892,000 10,177,000 
  income taxes207,770,000 19,340,000 5,454,000 9,300,000 193,572,000 38,619,000 7,338,000 28,915,000   48,187,000 44,572,000   2,008,000 23,250,000                                                         
  noncash investing and financing activities:                                                                        
  loans transferred from held-for-investment to held-for-sale102,214,000 36,194,000 12,525,000 307,182,000 139,641,000 199,974,000 232,164,000 227,189,000 119,550,000 160,476,000 160,008,000 112,363,000 218,189,000 133,217,000 188,194,000 163,780,000 101,764,000 145,872,000                                                       
  loans transferred to oreo18,908,000 6,598,000                                                                       
  proceeds from fhlb advances                                                                        
  proceeds from repurchase agreements 270,111,000                                                                      
  depreciation and amortization  58,711,000 39,364,000 49,374,000 50,998,000 -11,396,000 68,277,000 74,012,000 32,567,000 77,871,000 33,069,000 22,356,000 26,555,000 40,421,000 45,969,000 32,912,000 37,490,000 23,819,000 27,163,000 37,740,000 31,186,000 40,958,000 31,107,000 32,615,000 39,498,000 43,722,000 33,448,000 32,471,000 29,858,000 26,814,000 43,842,000 46,105,000 33,061,000 64,035,000 43,369,000 26,579,000 28,613,000 27,773,000 22,009,000 26,495,000 21,892,000 22,877,000 23,908,000 23,558,000 19,267,000 20,252,000 19,459,000 15,279,000 15,429,000 9,440,000 14,590,000 17,486,000 16,077,000 5,275,000 5,765,000 5,807,000 2,651,000 3,967,000 6,136,000 1,485,000 5,635,000 2,795,000 -51,000 2,218,000 2,916,000 2,804,000 3,200,000 2,324,000 3,027,000 3,059,000 2,880,000 
  amortization of premiums (accretion of discount)  3,159,000 4,678,000 5,406,000 648,000                                                                   
  net gains on sales of loans          -443,000 -2,129,000 -917,000 -2,922,000 -2,308,000 -3,329,000 -1,491,000 -1,781,000 -3,058,000 -361,000 -132,000 -950,000 -1,068,000 -2,037,000 -15,000 -915,000 -1,509,000 -1,145,000 -2,354,000 -1,582,000 -2,210,000 -2,360,000 -1,546,000 -2,754,000 880,000 -2,158,000 -2,882,000 -1,927,000 -5,155,000 -4,888,000                                 
  net (gains) losses on afs debt securities  -90,000 -145,000 -1,785,000 -49,000                                                                   
  impairment on other real estate owned (“oreo”) and other foreclosed assets  5,159,000                                                                     
  net gains on sales of oreo and other foreclosed assets  -134,000                                                                      
  distributions received from equity method investees  1,028,000 1,061,000 2,578,000 978,000                                                                   
  assets purchased under resale agreements:                                                                        
  proceeds from paydowns and maturities  60,000,000 300,000,000 50,000,000 19,288,000 150,629,000 232,312,000 556,904,000 607,240,000 554,932,000 284,420,000 191,921,000 282,401,000 223,952,000 50,000,000 50,000,000 100,000,000 250,000,000 350,000,000 250,000,000                                                 
  proceeds from sales of oreo and other foreclosed assets  8,505,000 16,902,000           25,778,000                                                          
  repurchase agreements:                                                                        
  repayment      5,700,000,000 -6,000,000,000  -500,200,000 -3,849,900,000 -175,100,000    -97,863,000 -101,000 -100,000 -99,999,000 -1,000 -800,000,000 -282,000,000                                               
  extinguishment cost                                                                        
  long-term debt and lease liabilities:                                                                        
  repayment of junior subordinated debt and lease liabilities  -211,000 -206,000 -222,000 -116,798,000                                                                   
  net increase in cash and cash equivalents  390,669,000 494,382,000 154,890,000 -404,183,000 53,806,000 -1,816,709,000 443,693,000 2,452,410,000 1,318,431,000 261,300,000 -1,946,647,000 -64,235,000 -939,966,000 -1,144,904,000 1,378,672,000 601,162,000 -488,970,000 -26,561,000 1,453,460,000 -181,107,000 218,868,000 -579,333,000 -163,711,000 783,948,000   -17,467,000 140,346,000 437,843,000 -1,015,727,000 317,833,000 556,140,000 211,671,000 74,036,000 -672,501,000 904,410,000 -514,816,000 -2,211,000 -75,868,000 989,035,000  413,759,000  -613,242,000 793,760,000 204,669,000 105,576,000 158,973,000 210,312,000 -326,250,000 5,209,000 345,594,000    103,416,000 159,039,000 104,672,000    20,202,000   -17,466,000 14,358,000 19,556,000  -220,683,000 240,836,000 
  cash and cash equivalents, beginning of year                                                                        
  cash and cash equivalents, end of year                                                                        
  cash paid during the year for:                                                                        
  securities transferred from afs to htm debt securities          3,010,003,000                                                           
  loans transferred to oreo or other foreclosed assets                                                                       
  deferred income tax (benefit) expense   -3,817,000 -2,058,000 -6,905,000                 -19,170,000 -324,000 -1,704,000 -406,000                                               
  net (gains) losses on sales of loans   -21,000                                                                     
  originations and purchases   -1,641,000 -850,000     -447,000 -1,832,000 -620,000 -2,985,000 -5,718,000 -27,751,000 -32,120,000 -15,989,000 -5,802,000 -4,228,000 -3,002,000 -1,172,000 -2,167,000                                               
  redemption of trust preferred securities   3,558,000                                                                   
  repurchase of common stocks pursuant to the stock repurchase program   -40,780,000 -82,441,000             -1,000                                                     
  loans transferred to oreo and other foreclosed assets    26,312,000 5,551,000                                                                   
  net incomees on sales of loans     41,000                                                                   
  proceeds from sales of other real estate owned (“oreo”) and other foreclosed assets         1,976,000                                                               
  benefit from (reversal of) credit losses          25,000,000 27,000,000                                                             
  accretion of discount and (amortization of premiums)                                                                        
  net incomees (gains) on afs debt securities      -3,138,000                                                                 
  net gains on sales of other real estate owned ("oreo") and other foreclosed assets                                                                        
  impairment on oreo and other foreclosed assets                                                                        
  proceeds from distributions received from equity method investees      7,555,000 1,031,000 978,000 1,718,000 1,944,000 1,230,000 1,185,000 3,227,000 5,493,000 4,060,000 1,059,000 2,505,000 3,852,000 3,827,000 134,000 973,000 458,000 1,474,000 388,000 1,150,000 1,091,000 856,000 927,000 887,000                                           
  investments in qualified affordable housing partnerships, tax credit and other investments      -74,241,000 -84,363,000 -42,588,000 -27,358,000 -75,593,000 -42,165,000 -16,692,000 -32,853,000 -47,954,000 -49,102,000 -40,024,000 -52,756,000 -52,697,000 -33,306,000 -41,303,000 -27,581,000 -43,618,000 -41,729,000 -28,294,000 -33,261,000 -59,622,000 -31,539,000 -18,645,000 -22,799,000 -40,071,000 -52,123,000 -31,113,000 -38,354,000 -30,118,000 -13,070,000 -36,282,000 -8,390,000 -46,870,000 -16,227,000                                 
  resale agreements:                                                                        
  purchase of bank-owned life insurance                                                                       
  net increase in deposits            -538,298,000 1,584,344,000 -22,449,000 778,073,000 3,148,732,000 4,559,929,000 3,210,892,000 916,670,000 1,980,881,000 1,374,287,000 650,504,000 216,587,000 235,597,000 800,053,000                                17,344,000 -32,832,000 272,923,000   85,227,000 135,366,000 -27,318,000 100,845,000 38,568,000 128,458,000 180,700,000    
  net increase in short-term borrowings               -21,143,000 -39,932,000 -194,918,000 185,872,000 39,962,000 -19,500,000 29,072,000 -18,593,000 -19,514,000                                           169,000,000    
  repayments of long-term debt and lease liabilities                                                                        
  amortization of premiums and accretion of discount       -5,251,000 -5,992,000 -4,497,000  4,817,000 9,695,000 11,824,000  6,082,000                                                         
  deferred income tax expense       -15,000 489,000 609,000            28,000      51,000 643,000 677,000                                           
  net incomees (gains) on sales of loans       12,000 7,000 22,000                                                               
  net change in:                                                                        
  repayment of repurchase agreements       -300,000,000                                                              
  repurchase agreements’ extinguishment cost       -3,872,000                                                              
  repayment of long-term debt and lease liabilities       -216,000 -218,000 -203,000  -253,000 -228,000 -229,000  -296,000 -298,000 -315,000  -1,289,000 -9,031,000 -289,000                                                   
  supplemental cash flow information                                                                        
  loans transferred from held-for-sale to held-for-investment                                                                        
  net realized losses (gains) on afs debt securities         10,000,000                                                               
  deferred income (benefit) tax expense                                                                        
  gains on sales of afs debt securities          -28,000 -1,278,000 -390,000 -354,000 -632,000 -192,000 -432,000 -698,000                                                     
  other net operating activities            3,133,000 49,000 -213,000 -4,800,000 5,551,000 20,000 1,654,000 770,000 -80,000 -161,000 -71,000 770,000   -266,000 -1,473,000 -241,000 148,000 321,000 264,000 3,665,000 -6,064,000 -1,682,000 -770,000 322,000 -349,000 -638,000 1,871,000         -1,315,000 -338,000                       
  other net investing activities            4,112,000 -2,758,000 986,000 -2,449,000 3,695,000 -1,307,000 -4,717,000 -1,472,000 1,064,000 -1,438,000 -663,000 3,619,000 -4,787,000 -729,000 -1,033,000 -802,000 -233,000 -1,967,000 -5,158,000 5,357,000 11,212,000 11,345,000 8,955,000 12,847,000 4,453,000 -2,022,000 -5,459,000 38,000          39,000                       
  proceeds from long-term debt                                                                      
  net change in federal funds purchased and short-term borrowings                                                                        
  stocks tendered for payment of withholding taxes           -6,000 -380,000 -18,597,000  -254,000 -271,000 -14,983,000  -30,000 -17,000 -7,609,000    -14,036,000                                               
  loans transferred to other real estate owned (“oreo”) and other foreclosed assets                                                                        
  net decrease in short-term borrowings            -18,000 -31,000                                                           
  income tax refund             581,000                                                           
  (reversal of) benefit from credit losses              -10,000,000 -10,000,000                                                         
  accretion of discount and amortization of premiums                  1,518,000 927,000 -14,382,000 -4,519,000 -9,462,000 -3,100,000 -5,403,000 -4,414,000 -6,101,000 -4,561,000 -7,230,000 -2,680,000 11,977,000 -5,889,000 -8,417,000 -4,931,000 -13,161,000                                      
  premises and equipment:                                                                        
  impairment on other real estate owned ("oreo") and other foreclosed assets                                                                        
  amortization of premiums and accretion of discount                  5,770,000                                                       
  purchases of premises and equipment                 -1,563,000                                                       
  repayment of fhlb advances                                  -700,000,000           -262,243,000 -420,887,000                       
  loans transferred to other real estate owned (“oreo”) and other nonperforming assets                 10,360,000                                                       
  net gain on sale of business                          -31,470,000                                          
  payment received from the sales of businesses, net of cash transferred                                                                        
  other net financing activities                                                407,000 -505,000                       
  loans transferred to other real estate owned                                                                        
  net gains on sales of afs debt securities                     -1,529,000                                                   
  net income on sales of fixed assets                     3,000                                                   
  proceeds from sales of other real estate owned                     295,000                                                   
  net gains on sales of afs investment securities                                                                        
  net gains on sales of fixed assets                      -66,000                                                  
  afs investment securities:                                                                        
  sales of businesses, net of cash transferred:                                                                        
  payments                                                                        
  fhlb advances                                                                        
  net gains on sales of available-for-sale investment securities                       -58,000 -1,447,000 -1,561,000 -161,000 -35,000 -210,000 -2,129,000 -1,304,000 -1,539,000 -2,720,000 -2,474,000 -1,894,000 -1,790,000 -2,836,000 -3,842,000 -13,373,000 -17,036,000                                 
  available-for-sale investment securities:                                                                        
  payment on sale of business, net of cash transferred                                                                        
  repayment of long-term debt and finance lease liabilities                       -223,000 -218,000 -217,000                                               
  repayment of long-term debt                          -10,000,000 -5,000,000 -5,000,000 -5,000,000 -5,000,000 -5,000,000 -5,000,000 -5,000,000 -5,000,000 -5,000,000 -5,000,000 -5,000,000 -5,000,000                                 
  net gains on sales of premises and equipment                           -3,402,000 -1,114,000 -1,086,000 -3,296,000 -1,043,000 -1,042,000 -72,007,000                                       
  originations and purchases of loans held-for-sale                           -6,095,000 -6,930,000 -4,617,000 -5,452,000 -5,263,000 -5,519,000 -4,287,000 -7,903,000                                      
  proceeds from sales and paydowns/payoffs in loans held-for-sale                           5,893,000 8,214,000 2,545,000 5,571,000 5,808,000 5,211,000 4,773,000 8,684,000                                      
  loans held-for-investment                           -1,013,702,000 -527,485,000 -619,671,000 -546,913,000 -1,307,045,000 -575,379,000 -1,085,449,000 -1,232,594,000                                      
  payment for sale of business, net of cash transferred                           -503,687,000                                           
  purchases of:                                                                        
  resale agreements                           -60,000,000   -50,000,000 -350,000,000 -200,000,000 -400,000,000 -50,000,000 -100,000,000 -1,000,000,000 -30,000,000 -300,000,000                                 
  available-for-sale investment securities                           -279,262,000 -77,427,000 -157,933,000 -326,935,000 -228,971,000 -221,762,000 -50,936,000 -1,065,475,000 -637,318,000 -469,533,000 -223,873,000 -1,356,690,000 -968,797,000                                 
  premises and equipment                           -1,806,000 -5,855,000 -1,757,000 -2,156,000 -6,608,000 -3,799,000 -1,191,000           18,902,000 1,000   -1,178,000 -1,021,000 -880,000 -7,698,000 -2,481,000 -79,872,000       5,498,000   -8,746,000 3,211,000 -3,170,000 -8,789,000 -1,938,000 4,135,000 3,000 1,000 
  proceeds from sale of:                                                                        
  other real estate owned                           7,000 879,000 2,716,000 1,568,000 133,000        18,584,000 16,976,000 4,986,000 16,364,000 22,313,000 24,308,000 16,425,000 37,023,000 22,791,000 40,392,000 33,612,000 62,906,000 31,662,000 14,947,000 31,195,000       1,000 4,129,000  387,000      
  business, net of cash transferred                                                                       
  paydowns and maturities of resale agreements                             250,000,000 50,000,000 550,000,000 400,000,000 50,000,000 400,000,000 50,000,000 1,000,000,000 -320,000,000 195,000,000                                 
  repayments, maturities and redemptions of available-for-sale investment securities                           192,767,000 123,626,000 87,677,000 90,130,000 78,693,000 119,764,000 125,006,000 632,162,000 427,324,000 285,373,000 158,268,000 176,265,000 161,860,000                                 
  deposits                           896,226,000 231,416,000 964,380,000     1,322,848,000 377,173,000 -363,423,000 1,116,272,000 726,618,000 1,246,538,000 196,510,000 1,096,290,000 346,505,000 626,348,000 642,927,000    699,155,000 795,971,000 342,038,000 377,776,000 -83,918,000 -380,911,000 9,739,000 204,759,000 312,100,000                
  short-term borrowings                           3,236,000 29,680,000 30,215,000 -24,956,000 -83,000 -17,997,000 -18,524,000 24,807,000 7,635,000 20,102,000 9,962,000          -3,404,000 -2,526,000 37,881,000 16,857,000 -14,643,000                   
  proceeds from:                                                                        
  issuance of common stock pursuant to various stock compensation plans and agreements                             1,272,000   1,020,000                                      
  payments for:                                                                        
  withholding taxes paid related to net share settlement of equity awards                                                                        
  cash dividends on common stock                           -33,389,000 -29,008,000 -30,235,000 -28,940,000 -28,931,000                  -1,486,000 -1,481,000 -1,479,000 -1,480,000 -1,105,000                   
  net increase/(decrease) in cash and cash equivalents                                                                        
  repurchase of vested shares due to employee tax liability                            -215,000 -14,946,000 -277,000 -404,000 -105,000 -12,154,000 -81,000 -50,000 -40,000 -3,054,000 -105,000 -72,000                                 
  changes in fdic indemnification asset and receivable/payable                                      19,007,000 3,883,000 50,578,000                                
  net gains on sales of oreo                                                                        
  repurchase agreements’ extinguishment costs                                                                       
  net payments to fdic shared-loss agreements                                                                        
  extinguishment of repurchase agreements                                      -460,193,000                                 
  customer deposits                               140,343,000 599,094,000 646,188,000                                       
  stock-based compensation                                                                        
  deferred tax expenses                                1,404,000 2,295,000 23,236,000 -627,000 639,000 3,718,000                                   
  oreo                                 3,958,000 4,137,000                                      
  cash dividends on common stocks                                 -30,039,000                                       
  net gains on sales of premises and equipment and oreo                                  -829,000                                      
  acquisitions, net of cash paid                                        138,465,000                               
  tax benefit from stock compensation plans                                   -14,000 -19,000 -986,000 -64,000 -31,000 -10,429,000 3,708,000                               
  short-term investments                                   -78,582,000 68,644,000 -3,531,000 -45,800,000 12,064,000                                 
  proceeds from sales of:                                                                        
  cash dividends                                   -28,832,000 -28,827,000 -29,325,000 -28,791,000 -28,777,000                                 
  (accretion) of discount and amortization of premiums                                    -14,105,000 -15,855,000 -15,880,000 -18,386,000         -56,658,000 -45,236,000                       
  net gains on sales of oreo and premises and equipment                                    -2,242,000 -193,000                                   
  originations and purchases of loans held for sale                                    -1,961,000 -1,403,000 -181,000                                 
  proceeds from sales and paydowns/payoffs in loans held for sale                                    2,565,000 2,229,000 942,000 369,000                                 
  loans receivable                                    -83,784,000 -29,342,000 -1,089,787,000 -1,072,116,000 -241,463,000 47,852,000 32,563,000 22,566,000 14,853,000 3,774,000 30,566,000 27,639,000 -166,291,000 -297,690,000 -281,094,000 -210,057,000 -190,953,000 -179,386,000    1,698,000 11,389,000 135,167,000 3,555,000 999,000 15,058,000    2,863,000     
  redemption of fhlb stock                                    10,614,000                                   
  issuance of common stock pursuant to various stock plans and agreements                                      1,066,000 5,545,000 283,000 708,000 442,000 685,000 458,000 1,139,000 1,539,000 1,766,000 1,575,000 1,927,000 726,000 1,106,000 695,000 10,000 375,000 15,000                
  net (payments to) proceeds from fdic shared-loss agreements                                      -120,961,000 -10,707,000                                 
  surrender of life insurance policies                                      369,000 14,769,000                               
  increase in long-term borrowings                                                                        
  repurchase of shares of treasury stock pursuant to the stock repurchase plan                                                                        
  deferred tax benefit                                                    31,247,000 -2,874,000              -6,612,000 -3,401,000    
  net gains on sales of other real estate owned and premises and equipment                                                                        
  redemption of federal home loan bank stock                                       -1,000 3,452,000 12,930,000 10,656,000 10,480,000 10,679,000 6,269,000 6,283,000 6,391,000 6,573,000 6,330,000        5,946,000   17,888,000 13,879,000 1,979,000 15,487,000 2,350,000 18,408,000  3,697,000 624,000 
  payment for:                                                                        
  repayment of federal home loan bank advances                                                                  -32,679,000,000      
  cash and cash equivalents, beginning of the period                                                                       
  cash and cash equivalents, end of the period                                       -2,211,000                                 
  deferred tax expense                                          8,000 312,000     36,715,000 26,901,000                       
  benefit from loan losses                                        19,000,000 6,933,000 9,000,000 4,327,000 13,084,000 18,500,000 15,500,000 18,100,000 26,500,000 26,506,000   55,256,000 76,421,000   78,000,000 43,000,000 85,000,000 55,000,000    -2,000,000 3,500,000 1,333,000 3,333,000 2,500,000 4,500,000 5,000,000 3,000,000 3,750,000 
  net gains on sales of other real estate owned, premises and equipment and other assets                                                                        
  repurchase agreements extinguishment costs                                                                        
  impairment on other real estate owned                                        252,000 490,000 832,000 1,321,000 2,693,000 2,801,000 3,152,000 7,389,000 11,839,000 7,816,000 13,161,000 7,668,000 15,546,000 13,294,000                   
  net gain on sales of investment securities, loans and other assets                                                -10,448,000 -9,070,000 -12,516,000 -10,446,000 -12,762,000 -16,052,000             -1,974,000 -1,333,000 -1,757,000    
  loans                                             -95,478,000 115,911,000 68,532,000                         
  securities purchased under resale agreements                                                -150,000,000 -268,369,000 -70,000,000 -430,000,000 -150,000,000 -300,000,000                  
  investment securities available-for-sale                                        -1,355,765,000 330,231,000 128,868,000 196,853,000 100,110,000 32,754,000 837,009,000 260,261,000 -795,599,000 -590,045,000 -594,669,000 -1,717,212,000 -1,183,088,000 -712,031,000    237,553,000 138,595,000 216,751,000 114,979,000 92,008,000 -2,084,302,000 115,784,000 398,838,000 -282,251,000 -173,824,000 -156,258,000 50,494,000 38,549,000 113,947,000 
  investments in affordable housing partnerships and other tax credit investments                                                                        
  loans originated for investment                                                                        
  repayments, maturities and redemptions of investment securities available-for-sale                                        201,711,000 151,358,000 174,185,000 87,889,000 119,580,000 392,814,000 468,054,000 138,650,000                         
  securities sold under repurchase agreements                                                                        
  modification of federal home loan bank advances                                                                        
  income tax payments, net of refunds                                        41,223,000 70,723,000 90,380,000 1,716,000 -5,341,000 3,010,000 162,307,000 23,422,000 9,305,000 3,282,000       50,000 3,266,000 36,458,000 19,000 26,802,000 55,638,000 4,165,000 3,564,000 35,745,000 34,938,000 505,000      
  loans transferred to loans held for sale                                        376,561,000 433,841,000 -2,730,000 21,855,000 -4,624,000 127,438,000 -19,483,000 40,800,000 236,463,000 243,119,000 425,182,000 -242,641,000                     
  transfers to other real estate owned                                         15,628,000 6,552,000 23,230,000 18,743,000 8,384,000 14,906,000 39,572,000                         
  conversion of preferred stock to common stock                                                31,000 325,299,000                   
  loans to facilitate sales of other real estate owned                                             450,000 400,000 7,562,000                       
  loans to facilitate sales of loans                                            380,000   4,262,000 13,154,000 3,500,000                      
  issuance of common stock related to acquisition                                                                        
  deferred tax (benefit) expense                                                                        
  proceeds from sales and net changes in loans held for sale                                                                        
  net proceeds from fdic shared-loss agreements                                         4,139,000 8,604,000 33,890,000 -7,707,000 20,724,000 23,719,000 39,358,000 56,703,000 44,399,000                       
  loans held for sale originated for investment                                         97,716,000   24,000 138,587,000 146,876,000 52,559,000 225,234,000 143,244,000 220,210,000                      
  issuance of long term borrowings                                                                        
  loans transfers to other real estate owned                                                                        
  issuance of stock related to acquisition                                         190,830,000                               
  decrease in fdic indemnification asset and receivable                                         53,634,000 47,905,000 31,899,000 49,731,000 26,757,000 40,345,000 5,418,000 18,806,000 17,443,000 36,043,000 -12,069,000 15,667,000 43,572,000                   
  proceeds from sales of loans held for sale                                         38,050,000 6,272,000                             
  investments in affordable housing partnerships and other investments                                                                        
  paydowns, maturities and termination of securities purchased under resale agreements                                         100,000,000 300,000,000 300,000,000 300,000,000 136,434,000                         
  termination of securities purchased under resale agreements                                                                        
  deferred tax (benefit) expenses                                                                        
  tax benefit from stock plans                                                     -341,000                   
  prepayment penalty for federal home loan bank advances and other borrowings                                            3,161,000                            
  other investments                                                                        
  repayment of other borrowings                                                                        
  repurchase of common stock warrants                                                -14,500,000                       
  loans to facilitate sale of premises and equipment                                                                        
  issuance of common stock to board of directors                                                                        
  prepayment penalty for federal home loan bank advances                                              2,336,000 1,321,000 4,433,000 4,022,000                      
  federal funds sold                                                                        
  investments in affordable housing partnerships                                                -8,616,000 -8,828,000 2,473,000 66,000 -539,000                 
  loans to facilitate sales of other real estate owned and short sales                                                                        
  gain on acquisition                                                  4,697,000                     
  net impairment loss on investment securities available-for-sale recognized in earnings                                                                        
  net cash acquired in acquisitions                                                                        
  repurchase of series b preferred stock                                                                        
  loans to facilitate sales of other real estate owned and short sale                                            3,320,000                            
  issuance of common stock in lieu of board of directors retainer fees                                                                        
  amortization of preferred stock discount                                                                        
  prepayment penalty on modification of federal home loan bank advances                                                                        
  net decrease (increase) in:                                                                        
  repayment of notes payable and other borrowings                                                  -48,898,000 -7,880,000 -15,239,000 -14,181,000                   
  loans to facilitate sales of premises and equipment                                                                        
  originations of loans held for sale                                                -734,000 -6,150,000 -20,972,000 -4,296,000 -11,335,000 -6,382,000             -4,974,000 42,214,000 -7,824,000    
  net cash acquired in wfib acquisition                                                                        
  net increase in loans                                                -387,679,000 -8,348,000                       
  net decrease in short-term investments                                                                        
  federal reserve bank stock                                                  -10,500,000              -2,983,000 -1,329,000    
  paydowns and maturities of securities purchased under resale agreements                                                                        
  transfers to other real estate owned/affordable housing investments                                                36,308,000 68,534,000                       
  proceeds from sale of loans held for sale                                                 7,235,000 21,670,000 -240,318,000 247,012,000 13,695,000 7,472,000 13,735,000 12,111,000 7,803,000 10,630,000 24,025,000 7,867,000 9,728,000 12,211,000 8,134,000 4,104,000 5,610,000 4,983,000 -42,978,000 7,854,000 21,431,000 20,479,000 38,018,000 
  net decrease (increase) in short-term investments                                                 2,975,000   10,016,000 53,604,000                   
  repayments, maturity and redemption of investment securities available-for-sale                                                 228,320,000 295,568,000 695,221,000 1,091,098,000 482,270,000   610,984,000 623,227,000 260,912,000 127,715,000 198,516,000 125,592,000 647,863,000 825,919,000 94,584,000 508,926,000 195,192,000 89,851,000 63,388,000 42,419,000 60,875,000 52,297,000 
  issuance of short-term borrowings                                                    16,744,000 5,641,000                   
  cash dividends on preferred stock                                                 -1,715,000 -7,420,000 -5,546,000 -5,547,000 -5,547,000                   
  net income after extraordinary items                                                  56,349,000                      
  adjustments to reconcile net income after extraordinary items to net cash from operating activities:                                                                        
  accretion of discount and premium                                                  -76,762,000 -18,548,000 -43,986,000 -96,692,000                   
  impairment writedown on goodwill                                                         272,000               
  impairment writedown (reversal) on mortgage servicing assets                                                                        
  impairment writedown on other investments                                                                        
  federal home loan bank stock dividends                                                                  -547,000 -639,000 -615,000    
  income from life insurance policies                                                                        
  net decrease in loans                                                  -164,468,000 5,749,000 198,522,000 458,384,000                   
  investment securities held-to-maturity                                                                        
  federal home loan bank stock                                                                  -4,277,000 -12,285,000    
  net cash acquired (paid) in acquisitions                                                                        
  issuance of preferred stock, net of stock issuance costs, and common stock warrants                                                                        
  issuance of common stock from public offering                                                                        
  issuance of common stock from private placement                                                                        
  purchase of treasury shares                                                                        
  issuance and conversion costs of preferred stock and common stock                                                                        
  tax (provision) from stock compensation plans                                                                        
  transfers from investment securities held-to-maturity to available-for-sale                                                                        
  desecuritization of loans receivable                                                                       
  transfers from other real estate owned/affordable housing partnership                                                                        
  real estate acquired through foreclosure                                                       48,311,000 30,561,000 20,605,000 12,616,000 13,393,000 622,000 98,000 2,786,000      
  affordable housing investment financed through notes payable                                                            4,999,000 4,614,000          
  purchase accounting adjustment in connection with acquisition                                                                        
  accrued preferred stock dividend                                                                        
  issuance of common stock in lieu of board of director retainer fees                                                  -79,000                     
  net impairment loss on investment securities recognized in earnings                                                                        
  impairment writedown on mortgage servicing assets                                                                        
  benefit from loan losses and impact of desecuritization                                                      159,245,000                  
  impairment loss on other equity investment                                                                       
  tax provision from stock plans                                                   -60,000   94,000 1,000 403,000                
  acquisition of wfib assets                                                                       
  investment securities                                                   183,608,000 247,722,000 615,843,000                   
  dividends/redemption of federal home loan bank stock                                                   6,657,000 6,677,000 93,000                   
  net (payment for) proceeds from:                                                                        
  issuance of long-term borrowings                                                   350,000,000                   
  repayment of long-term borrowings                                                   -7,325,000 -826,748,000 -389,064,000                   
  purchase of treasury shares due to the vesting of restricted stock                                                                        
  preferred stock issuance cost                                                                        
  income tax (refunds) payments                                                   5,464,000 20,774,000 -1,946,000                   
  transfers to real estate owned/affordable housing partnership                                                   71,174,000 55,550,000 76,552,000                   
  loans to facilitate sales of real estate owned                                                   12,383,000   10,623,000 16,915,000 11,067,000                
  impairment writedown on investment securities available-for-sale                                                    4,642,000 4,799,000                   
  fhlb advance prepayment penalty                                                    3,900,000 9,932,000                   
  maturity of short term investments                                                                        
  repurchase of treasury shares                                                    -25,000 -419,000                   
  issuance and conversion costs of preferred stock & common stock                                                                        
  gain related to the fair value of investments from the acquisition of united commercial bank                                                     -8,095,000                   
  net income after extraordinary item                                                                        
  adjustments to reconcile net income income to net cash from operating activities:                                                                        
  impairment loss on goodwill                                                                        
  credit related impairment loss on investment securities available-for-sale                                                                        
  benefit from loan loss on other real estate owned                                                                        
  net change in accrued interest payable, accrued expenses and other liabilities                                                           6,911,000             
  net decrease in loans receivable                                                                        
  interest-bearing deposits in other banks                                                                  -1,059,000      
  sale of investment securities                                                      99,331,000                  
  sale/call of securities purchased under resale agreements                                                                        
  sale of loans receivable                                                      66,459,000 29,372,000 9,396,000                
  sale of other real estate owned                                                      14,846,000 27,162,000 9,799,000                
  sale of premises and equipment                                                                        
  maturity of interest-bearing deposits in other banks                                                               99,000 564,000        
  repayments, maturity and redemption of investment securities                                                      165,345,000                  
  net proceeds from                                                                        
  issuance of preferred stock                                                                        
  repayment of notes payable on affordable housing investments                                                                    -238,000    
  repurchase of treasury shares pursuant to stock repurchase program and vesting of restricted stock                                                                        
  loans to facilitate sales of loans receivable                                                                        
  afforadable housing investment financed through notes payable                                                           3,000,000             
  net (loss) after extraordinary item                                                                        
  credit-related impairment loss on investment securities available-for-sale                                                                        
  benefit from loss on other real estate owned                                                       12,754,000 3,184,000                
  net decrease (increase) in loans                                                                        
  sale of securities purchased under resale agreements                                                                        
  issuance of preferred stock and common stock warrants, net of stock issuance costs                                                                        
  issuance cost of series b preferred stock                                                                        
  credit-related impairment writedown on investment securities available-for-sale                                                        200,000                
  net decrease (increase) loans                                                        100,111,000                
  sale of investment securities available-for-sale                                                        185,775,000                
  cash dividends on preferred stocks                                                                        
  impairment writedown of investment securities                                                         53,567,000               
  tax benefit from stock options exercised                                                         18,000 71,000 70,000        4,204,000 826,000 3,386,000 590,000 469,000 
  tax benefit from vested restricted stock                                                         27,000 1,000 369,000 8,000 27,000 157,000 -1,412,000 33,000 1,086,000 -543,000      
  net loan decrease                                                                        
  short term investments                                                                        
  real estate owned                                                         18,135,000               
  acquisitions, net of cash acquired                                                                        
  net increase in federal funds purchased                                                            6,910,000   32,986,000 14,014,000 98,500,000 -86,000,000      
  net increase in federal home loan bank advances                                                            263,500,000   -363,000,000    135,000,000 -370,750,000    
  (repayment) purchases of of securities sold under repurchase agreements                                                                        
  proceeds from issuance of long-term debt                                                            30,000,000 20,000,000 30,000,000 45,000,000    
  proceeds from issuance of common stock pursuant to various stock plans and agreements                                                         94,000 1,136,000 393,000 4,348,000            
  proceeds from issuance of convertible preferred stock, net of stock issuance costs                                                         -7,000               
  dividends paid on preferred stock and common stock                                                                        
  purchase of treasury shares pursuant to stock repurchase program and vesting of restricted stock                                                                        
  guaranteed mortgage loan securitizations                                                            345,522,000 326,075,000 395,712,000 453,541,000        
  issuance of common stock in connection with acquisition                                                                        
  equity interests in east west capital trusts                                                                        
  net loan originations                                                                  -372,642,000 -315,131,000 -340,123,000    
  repayment of securities sold under repurchase agreements                                                                        
  dividends paid on common stock                                                                  -2,830,000 -2,813,000 -2,637,000    
  acquisitions, net of cash (acquired) paid                                                           84,000             
  net decrease in federal funds purchased                                                                        
  net decrease in federal home loan bank advances                                                                        
  repayment of notes payable                                                                        
  deferred taxes                                                              51,000    -2,288,000      
  tax benefit from stock option exercised                                                            1,106,000 3,411,000 2,660,000          
  net change in accrued interest payable, accrued expenses, and other liabilities                                                            17,496,000 -18,776,000 21,599,000  830,000 2,655,000 10,398,000      
  proceeds from unsettled securities acquired                                                               1,456,000 224,160,000      
  cash obtained from acquisitions, net of cash paid                                                               -799,000 99,150,000     
  proceeds from securities sold under repurchase agreements                                                               150,000,000 100,000,000   125,000,000     
  issurance of common stock in connection with acquisition                                                                        
  issuance of common stock purchase pursuant to acquisition                                                                        
  issuance of common stock to employees                                                               105,000      
  proceeds from issuance of commom stock pursuant to various stock plans and agreements                                                              1,473,000          
  purchase of treasury shares pursuant to stock repurchase program                                                                        
  purchase of treasury stock                                                              697,000          
  issuance of common stock pursuant to acquisition                                                               -4,000 133,853,000      
  payment of debt issue cost                                                                  -77,000 -5,000 -9,000    
  proceeds from issuance of common stock in private placement                                                                        
  tax benefit from stock option exercises                                                                2,951,000 10,701,000 -3,756,000      
  securities purchased under resale agreement                                                                  -50,000,000      
  proceeds from common stock options exercised                                                                1,458,000 1,447,000 2,634,000  1,120,000 1,652,000 825,000 743,000 
  proceeds from stock warrants exercised                                                                        
  proceeds from employee stock purchase plan                                                                       
  real estate investment financed through notes payable                                                                        
  stock compensation cost                                                                    721,000    
  proceeds from federal home loan bank advances                                                                 16,068,546,000 32,730,000,000   24,920,000,000 4,765,000,000 5,725,000,000 
  proceeds from issuance of common stock                                                                     9,650,000 -42,000 28,882,000 
  cash flows from operating activities:                                                                        
  cash flows from investing activities:                                                                        
  maturity of certificate of deposit                                                                       
  cash flows from financing activities:                                                                        
  income tax payments                                                                     9,735,000 33,462,000 1,780,000 
  loans exchanged for investment securities available-for-sale                                                                       
  issurance of common stock pursuant to acquisitions                                                                        
  issurance of common stock to employees                                                                        
  issurance of common stock in lieu of board of director retainer fees                                                                        
  proceeds from sale of :                                                                        
  proceeds from maturity of interest-bearing deposits in other banks                                                                        
  cash acquired from purchase of trust bank in 2004 and pacific business bank in 2003, net of cash paid                                                                        
  proceeds from issuance of commons stock under director’s retainer plan                                                                        
  proceeds from junior subordinated debt                                                                     -310,000   
  issuance of common stock in connection with trust bank acquisition                                                                        
  net change in accrued interest receivable and other assets, net of effects from purchase of pacific business bank in 2003                                                                        
  net change in accrued expenses and other liabilities, net of effects from purchase of pacific business bank in 2003                                                                       4,817,000 
  proceeds from maturity of interest bearing deposits                                                                        
  cash acquired from purchase of pacific business bank, net of cash paid                                                                        
  investment in east west capital trust iv                                                                        

We provide you with 20 years of cash flow statements 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 operating cash flows, cash levels, capital expenditures, profits, stock-based compensations and profit margins. This in-depth information is essential for making informed investment decisions and understanding the financial health and performance of East West Bancorp stock. Explore the full financial landscape of East West Bancorp stock with our expertly curated income statements.

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