7Baggers
Quarterly
Annual
    Unit: USD2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-06-30 2016-03-31 2015-12-31 2015-09-30 2015-06-30 2015-03-31 2014-12-31 2014-09-30 2014-06-30 2014-03-31 2013-12-31 2013-09-30 2013-06-30 2013-03-31 2012-12-31 2012-09-30 2012-06-30 2012-03-31 2011-12-31 2011-09-30 2011-06-30 2011-03-31 2010-12-31 2010-09-30 2010-06-30 2010-03-31 
      
                                                               
      cash flows from operating activities:
                                                               
      net income
    260,500,000 237,800,000 199,100,000 216,900,000 199,800,000 193,600,000 177,400,000 147,900,000 216,600,000 215,700,000 142,200,000 293,000,000 264,000,000 260,200,000 240,100,000 246,000,000 236,900,000 223,800,000 192,500,000 193,595,000 135,769,000 93,272,000 83,964,000 128,064,000 127,375,000 122,936,000 120,796,000 119,086,000 111,123,000 89,306,000 82,858,000 79,971,000 73,357,000 61,614,000 61,332,000 60,201,000 59,134,000 34,719,000 40,190,000 40,409,000 40,919,000 35,538,000 31,085,000 31,351,000 28,192,000 34,016,000 20,964,000 32,115,000 15,458,000 13,961,000 11,300,000 7,101,000 13,011,000 6,229,000 5,153,000     
      adjustments to reconcile net income to net cash from operating activities:
                                                               
      benefit from credit losses
    80,000,000 39,900,000 31,200,000 60,000,000 33,600,000 37,100,000 15,200,000  12,100,000 21,800,000 19,400,000         -34,237,000 14,661,000 92,000,000 51,176,000 4,000,000 4,000,000 7,000,000 3,500,000 6,000,000 6,000,000 5,000,000 5,000,000 3,000,000 4,250,000 2,500,000 2,500,000 2,500,000 700,000 300,000 419,000 507,000 3,500,000 4,300,000 3,481,000 5,439,000 11,501,000 8,932,000 13,330,000 13,081,000 13,076,000 11,180,000 11,891,000 10,041,000 18,384,000 22,965,000 23,115,000 28,747,000 
      depreciation and amortization
    27,700,000 26,400,000 25,000,000 29,800,000 22,400,000 21,400,000 20,800,000 19,100,000 9,900,000 17,500,000 16,500,000 16,300,000 13,300,000 11,700,000 11,100,000 8,100,000 10,600,000 9,000,000 6,000,000 5,778,000 7,596,000 4,531,000 4,995,000 4,945,000 4,714,000 4,589,000 4,209,000 3,859,000 3,645,000 3,437,000 3,567,000 3,178,000 3,211,000 3,530,000 2,606,000 2,427,000 2,096,000 1,979,000 1,964,000 1,838,000 1,108,000 1,176,000 2,044,000 2,582,000 2,226,000 2,276,000 2,153,000  2,383,000 1,708,000 3,228,000 2,540,000 2,690,000 2,688,000 2,705,000 3,431,000 3,511,000 3,539,000 3,610,000 
      stock-based compensation
    12,800,000 11,100,000 15,400,000 10,700,000 11,400,000 12,500,000 13,100,000 8,900,000 8,900,000 10,400,000 6,100,000 9,500,000 9,400,000 11,100,000 9,800,000 9,500,000 8,100,000 9,500,000 8,000,000 7,140,000 6,605,000 8,061,000 6,894,000 6,455,000 6,060,000 7,251,000 6,472,000 6,230,000 5,698,000 5,645,000 5,515,000 6,052,000 6,342,000 4,923,000 5,394,000 4,642,000 5,380,000 3,779,000 4,129,000 4,813,000 3,154,000 4,166,000 332,000 3,335,000 1,573,000 1,820,000 971,000 1,593,000 898,000 2,016,000 1,811,000 1,170,000 1,444,000 653,000 1,005,000 1,715,000 1,929,000 1,753,000 2,142,000 
      deferred income taxes
    -52,700,000 7,400,000 -54,300,000 22,400,000 -33,800,000 21,100,000 2,700,000 6,900,000 -10,200,000 -16,100,000 -5,500,000 -116,300,000 58,600,000 -46,000,000 35,100,000 -1,600,000 33,300,000 5,200,000 5,100,000 12,314,000 -14,217,000 -18,372,000 -4,825,000 -10,886,000 2,640,000 1,719,000 1,398,000 -602,000 1,836,000 85,100,000 2,854,000 -1,884,000 2,401,000 286,000 4,887,000 7,376,000 -1,777,000 -2,553,000 208,000                     
      amortization of net discounts for investment securities
    -6,300,000 -12,700,000 -19,800,000 -36,700,000 -52,700,000                                                       
      amortization of tax credit investments
    21,200,000 19,000,000 15,100,000 19,900,000 19,600,000 17,100,000 18,600,000 -2,600,000 27,900,000 27,700,000 11,300,000 17,600,000 16,800,000 15,400,000 13,400,000 12,900,000 12,900,000 8,200,000 15,500,000 14,956,000 14,535,000 12,267,000 7,442,000 7,950,000 12,978,000 10,428,000 10,145,000 9,352,000 8,997,000                               
      amortization of operating lease right of use asset
    5,800,000 5,900,000 6,000,000 6,100,000 6,000,000 6,000,000 6,000,000 5,900,000 5,800,000 5,800,000 6,000,000 5,800,000 5,600,000 5,400,000 5,400,000 4,800,000 4,800,000 3,700,000 3,000,000 2,826,000 6,028,000 47,000 2,799,000 2,754,000 5,119,000 -16,000 2,601,000                                 
      amortization of net deferred loan fees and net purchase premiums
    -20,000,000 -19,100,000 -19,600,000 -18,800,000 -20,300,000 -25,600,000 -20,900,000 -19,200,000 -17,900,000 -24,300,000 -22,600,000 -23,000,000 -20,100,000 -18,000,000 -12,500,000 -13,100,000 -14,500,000 -19,500,000 -19,200,000 -17,115,000                                        
      purchases and originations of loans hfs
    -15,727,800,000 -14,217,000,000 -12,529,000,000 -13,533,100,000 -13,825,700,000 -11,324,000,000 -9,984,500,000 -10,317,100,000 -12,456,600,000 -11,880,000,000 -8,067,200,000 -8,342,600,000 -11,693,400,000 -12,311,000,000 -13,060,000,000                                             
      proceeds from sales and payments on loans hfs and related securitization activities
    15,017,400,000                                                           
      mortgage servicing rights capitalized upon sale of mortgage loans
    -318,600,000 -284,400,000 -260,400,000 -296,900,000 -222,500,000 -214,700,000 -188,700,000 -211,500,000 -265,800,000 -244,800,000 -142,400,000 -141,600,000 -180,600,000 -193,400,000 -204,100,000 -251,100,000 -230,400,000                                           
      net incomees (gains) on:
                                                               
      change in fair value of trading securities, loans hfs, mortgage servicing rights, and related derivatives
    50,300,000                                                           
      fair value adjustments
    -1,400,000 1,700,000 2,900,000 -4,800,000 700,000 -12,900,000 700,000 -200,000 -15,700,000 -11,900,000 149,800,000                                                 
      sale of investment securities
    -8,500,000 -11,400,000 -2,100,000 -7,200,000 -8,800,000 -2,300,000 900,000 14,800,000 -100,000 13,600,000 12,500,000                                                 
      other
    -19,000,000 -3,200,000 3,900,000 -4,000,000 -17,100,000 3,500,000 -3,000,000 -9,200,000 11,000,000 700,000 -3,600,000 7,600,000 5,200,000 4,400,000 500,000                                             
      other assets and liabilities
    81,200,000 -186,200,000 -164,100,000 126,900,000 -24,100,000 -125,300,000 287,400,000 19,800,000 200,600,000 -42,300,000 -63,400,000                                                 
      net cash from operating activities
    -597,400,000 -357,700,000 -1,654,000,000 -621,700,000 -1,068,000,000 -745,800,000 -306,500,000 341,200,000 -569,700,000 -457,400,000 357,300,000 794,400,000 490,900,000 337,100,000 622,900,000 615,000,000 -1,307,800,000 -2,061,300,000 100,100,000 220,084,000 166,714,000 159,423,000 123,979,000 183,267,000 204,225,000 178,966,000 151,314,000 144,692,000 148,927,000 112,728,000 95,645,000 87,466,000 87,972,000 43,822,000 71,315,000 75,171,000 60,688,000 15,833,000 61,120,000 56,166,000 46,602,000 20,544,000 39,977,000 41,243,000 37,289,000 50,592,000 35,925,000 22,816,000 5,410,000 47,306,000 36,428,000 33,362,000 27,430,000 42,500,000 39,183,000 79,675,000 -20,009,000 9,924,000 -69,290,000 
      cash flows from investing activities:
                                                               
      investment securities - afs
                                                               
      purchases
    -3,890,100,000 -6,886,600,000 -2,748,100,000 -2,464,500,000 -3,510,200,000 -4,877,000,000 -5,938,000,000 -8,291,200,000 -1,742,400,000 -4,179,800,000 -931,300,000 -109,900,000 -51,000,000 -1,404,800,000 -830,600,000 -147,700,000 -173,500,000 -178,700,000 -2,748,500,000 -1,245,596,000 -824,905,000 -241,198,000 -654,501,000 -181,144,000 -622,597,000 -97,506,000 -26,342,000 -269,321,000 -165,097,000 -67,526,000 -602,140,000 -574,569,000 -185,199,000 -233,094,000 -128,101,000 -165,585,000 -566,885,000 -93,532,000 -1,000,000 -61,687,000 -42,580,000 -14,703,000 -24,082,000 -356,283,000 -193,193,000               
      principal pay downs and maturities
    1,662,400,000 1,856,700,000 1,710,900,000 3,086,600,000 2,458,000,000 3,475,900,000 1,285,600,000 6,477,100,000 641,900,000 2,856,200,000 61,100,000 92,400,000 101,300,000 153,400,000 257,100,000 340,900,000 329,900,000 469,700,000 493,600,000 501,120,000 395,477,000 354,264,000 264,639,000 332,352,000 222,578,000 132,997,000 97,732,000  119,955,000    33,000 55,000 95,000 46,000 158,000 78,000 65,000 73,000 810,000 149,000 112,000 -159,513,000 160,388,000               
      proceeds from sales
    2,249,100,000 2,194,300,000 411,700,000 504,600,000 2,285,700,000 331,800,000 1,403,200,000 754,800,000 7,400,000 341,100,000 429,300,000 52,400,000 5,000,000 5,400,000 114,200,000 114,700,000    -29,000 94,319,000 62,310,000  140,377,000     -1,000 -14,175,000 15,170,000 34,304,000 3,223,000 51,283,000 78,040,000 63,591,000 5,395,000 22,644,000 4,196,000  49,099,000               
      investment securities - htm
                                                               
      equity securities carried at fair value
                                                               
      redemptions
    5,000,000   8,700,000   5,800,000 800,000 200,000 100,000 -400,000 19,000,000 2,000,000 400,000                                         
      proceeds from sale of mortgage servicing rights and related holdbacks
    112,300,000 411,000,000 107,800,000 254,500,000 253,000,000 238,500,000 162,300,000 182,600,000 151,300,000 129,100,000 335,200,000 9,700,000 18,400,000 339,700,000 24,100,000                                             
      (purchase of) proceeds from other investments
                                                               
      proceeds from bank owned life insurance
    600,000                -111,000 404,000       543,000      415,000                        
      net increase in loans hfi
    -698,200,000 -1,378,400,000 -1,068,500,000 -597,300,000 -1,027,200,000 -1,665,800,000 -525,700,000    -1,003,500,000 563,700,000 -3,782,000,000 -5,992,800,000 -1,961,700,000                                             
      purchase of premises, equipment, and other assets
    -28,200,000 -21,100,000 -16,600,000 -26,700,000 -22,100,000 -16,200,000 -18,800,000 -27,300,000 -26,200,000 -32,300,000 -28,500,000 -56,800,000 -36,800,000 -21,200,000 -26,200,000 -37,600,000 -18,200,000 -3,200,000 -10,400,000 6,303,000 -13,385,000 -3,142,000 -16,576,000 -19,866,000 -6,118,000 -6,012,000 -3,152,000 -2,994,000 -6,483,000 -1,218,000 -2,551,000 -2,518,000 -2,575,000 -3,506,000 -3,086,000 1,004,000 -7,974,000 -1,649,000 -2,237,000                     
      purchase of bank owned life insurance
                                                              
      proceeds from sale of other repossessed assets
                                                               
      net cash from investing activities
    -595,700,000 -3,962,100,000 -1,593,100,000 587,200,000 -394,900,000 -2,511,600,000 -3,647,700,000 -1,880,100,000 -645,600,000 1,713,700,000 -1,347,100,000 490,900,000 -3,927,900,000 -7,095,500,000 -2,597,600,000    -4,058,900,000 -1,945,562,000 -1,533,703,000 -1,662,392,000 -2,395,843,000 -947,859,000 -1,330,995,000 -1,092,694,000 -351,485,000 -1,071,276,000 -703,118,000 -803,904,000 -915,949,000 -800,215,000 -435,459,000 -1,725,815,000 -155,516,000 -389,258,000 -881,679,000 251,514,000 -347,020,000 -395,760,000 -388,493,000 -312,850,000 -288,910,000 -645,814,000 -163,260,000        -293,824,000 54,370,000 -104,171,000  -140,760,000 -158,157,000 100,485,000 
      cash flows from financing activities:
                                                               
      net increase in deposits
    6,139,100,000 1,782,900,000 2,979,300,000 -1,705,300,000 1,796,600,000 4,015,000,000 6,895,700,000 1,046,000,000 3,245,900,000 3,453,600,000 -6,056,600,000 -1,944,600,000 1,876,600,000 1,552,600,000 4,547,500,000 2,329,400,000 3,361,600,000 3,527,900,000 6,462,600,000 3,087,097,000 1,298,810,000 2,713,905,000 2,034,188,000 355,679,000 1,000,915,000 1,231,159,000 1,031,293,000 268,867,000 821,052,000 67,749,000 873,671,000 675,143,000 806,106,000 1,119,702,000 1,051,031,000 420,341,000 203,726,000 2,414,000 731,374,000 233,506,000 228,238,000 320,670,000 310,939,000 563,184,000 274,357,000 -72,105,000 279,737,000 176,010,000 160,528,000 102,394,000 240,542,000 25,624,000 44,568,000 90,856,000 159,023,000 9,913,000 98,444,000   
      net proceeds from issuance of long-term debt
    2,500,000,000 2,500,000,000 1,200,000,000 2,000,000,000      92,900,000 -1,100,000                                               
      payments on long-term debt
    -2,507,100,000 -1,431,500,000 -2,005,900,000 -1,006,600,000 -6,600,000 -7,100,000 -5,400,000 -279,700,000 -6,900,000 -274,200,000 -257,300,000 -5,900,000 -7,400,000 -7,900,000 -9,500,000                                             
      net decrease in short-term borrowings
                  -514,500,000                                             
      net proceeds from issuance of equity by a subsidiary
    293,100,000                                                         
      cash paid for tax withholding on vested restricted stock and other
    -100,000 -900,000 -10,800,000 -1,100,000 200,000 -7,800,000 -100,000 -200,000 -10,700,000 -100,000 -900,000 -200,000 -17,300,000 -1,200,000 -1,700,000 -100,000 -12,800,000                                         
      common stock repurchases
                       69,000 -9,148,000 -62,521,000 -4,560,000 -43,658,000 -33,964,000 -37,949,000                                 
      cash dividends paid on common and preferred stock
    -45,000,000 -45,400,000 -45,000,000 -45,000,000 -43,900,000                                                       
      cash dividends paid to noncontrolling interest
    -7,100,000                                                           
      net cash from financing activities
    4,182,800,000 3,807,700,000 2,430,300,000 1,538,000,000 -22,500,000 3,785,000,000 5,928,000,000 -382,000,000 2,559,100,000 -2,742,400,000 3,585,700,000 -1,851,400,000 3,160,700,000 6,041,900,000 4,060,600,000 3,027,400,000 4,114,000,000 1,435,600,000 6,633,600,000 2,978,439,000 1,267,261,000 2,605,722,000 2,252,978,000 327,129,000 931,122,000 1,195,824,000 487,210,000 724,592,000 747,937,000 457,590,000 863,983,000 672,390,000 710,030,000 1,347,259,000 890,538,000 213,317,000 388,065,000 -1,413,000 613,906,000 245,220,000 221,379,000 205,663,000 409,344,000 401,052,000 252,053,000 -42,697,000 498,774,000 13,816,000 206,730,000 183,581,000 70,057,000 284,468,000 37,802,000 74,352,000 211,580,000 32,972,000 216,100,000 -121,183,000 402,015,000 
      net increase in cash and cash equivalents
    2,989,700,000 -512,100,000 -816,800,000 1,503,500,000 -1,485,400,000 527,600,000 1,973,800,000 -1,920,900,000 1,343,800,000 -1,486,100,000 2,595,900,000                   -233,586,000 43,679,000 -40,359,000 362,543,000 -334,734,000 806,337,000 -100,770,000 -432,926,000 265,934,000 328,006,000 -94,374,000 -120,512,000 -86,643,000 160,411,000 -203,519,000 126,082,000 -173,324,000 351,650,000  128,997,000 -833,000 24,758,000  -228,592,000    55,332,000 -269,417,000 433,210,000 
      cash, cash equivalents, and restricted cash at beginning of period
    4,095,600,000 1,576,100,000 1,043,400,000 516,400,000 2,671,700,000 4,000 434,596,000 498,572,000                               
      cash, cash equivalents, and restricted cash at end of period
    2,989,700,000 -512,100,000 3,278,800,000 1,503,500,000 -1,485,400,000 527,600,000 3,549,900,000 -1,920,900,000 1,343,800,000 -1,486,100,000 3,639,300,000 -566,100,000 -276,300,000 -716,500,000 2,602,300,000 -401,500,000 -2,477,900,000 -1,950,700,000 5,346,500,000 1,252,965,000 -99,728,000 1,102,753,000 415,710,000 -437,463,000 -195,648,000 282,096,000 785,611,000 -201,992,000 193,746,000                               
      supplemental disclosure:
                                                               
      cash paid (received) during the period for:
                                                               
      interest
    468,500,000 478,700,000 442,300,000 505,900,000 500,900,000 495,800,000 439,000,000 472,500,000 367,600,000 411,400,000 329,500,000      -24,000,000 79,400,000 15,000,000 21,466,000 25,600,000 15,243,000 46,291,000 35,756,000 54,173,000 46,675,000 43,832,000 32,260,000 34,889,000 12,023,000 21,440,000 8,524,000 17,851,000 4,314,000 13,892,000 3,259,000 11,691,000 2,382,000 11,499,000 -161,000 16,254,000 4,507,000 5,916,000 5,965,000 13,151,000 2,365,000 7,132,000 6,690,000 7,462,000 5,275,000 9,526,000 6,741,000 12,263,000 8,279,000 13,018,000 9,922,000 12,644,000 12,096,000 12,692,000 
      income taxes
    5,200,000 4,500,000 24,200,000 28,800,000 20,000,000 97,700,000 -145,200,000 6,600,000 12,500,000 52,000,000 -7,500,000      49,100,000 80,300,000 30,800,000         4,102,000 -134,000 19,908,000 25,585,000 53,960,000 -23,000   33,543,000 -4,754,000 24,144,000 1,657,000 13,876,000 4,500,000 14,679,000 2,501,000 -1,140,000 8,670,000 10,125,000 1,450,000 450,000 250,000 1,040,000         
      non-cash activities:
                                                               
      transfers of mortgage-backed securities in settlement of secured borrowings
    297,800,000 407,200,000 645,000,000 721,100,000 818,100,000 455,800,000 95,400,000 96,100,000 185,600,000 150,400,000 125,200,000                                                 
      transfers of securitized loans hfs to afs securities
       200,000 62,200,000 60,600,000 94,500,000 95,300,000 42,800,000 43,900,000                                                 
      transfers of loans hfi to hfs, net of fair value loss adjustment
    41,400,000 42,500,000 88,200,000 59,400,000 47,800,000 17,900,000 142,100,000 371,600,000                                                   
      transfers of loans hfi to other assets acquired through foreclosure
    1,200,000                                                           
      transfers of oreo properties to premises and equipment
                                                               
      financed sale of oreo
                                                               
      proceeds from sale and purchase of other investments
     -156,200,000 12,700,000                                                         
      net increase in short-term borrowings
     1,010,000,000 19,600,000 2,294,800,000 -2,767,500,000 -179,100,000 -910,600,000 -621,600,000 1,359,100,000 -8,349,100,000 9,952,900,000 48,700,000 1,285,700,000                                               
      cash paid during the period for:
                                                               
      unsettled sales of afs securities
                                                               
      proceeds from sales and payments on loans hfs
      11,009,400,000 12,879,500,000 12,743,500,000 10,696,600,000 9,432,800,000                                                     
      change in fair value of loans hfs, mortgage servicing rights, and related derivatives
      87,300,000 -92,400,000 100,000,000 11,500,000 -28,500,000 132,400,000 -68,800,000 -19,300,000 43,500,000 65,400,000 -29,500,000 -54,400,000 -55,400,000                                             
      extinguishment of debt
           -39,300,000 -700,000 -12,700,000                                            
      purchase of other investments
           -128,500,000 -14,000,000 70,000,000 -172,600,000 -46,300,000 -131,700,000 -102,500,000 -66,100,000    -1,700,000                                         
      cash consideration paid for acquisitions, net of cash acquired
               -50,000,000                                             
      net proceeds from repurchase obligations
                                                             
      payments on repurchase obligations
           -483,000,000 -1,996,400,000                                                   
      proceeds from issuance of common stock
                                                               
      net increase in unfunded commitments and obligations
           48,000,000 16,500,000 18,100,000 -5,500,000                                                 
      transfer of ebo loans previously classified as hfs to hfi
                                                               
      transfers of loans hfs to hfi, at amortized cost
       700,000    1,349,500,000                                                   
      sale (purchase) of other investments
        11,100,000 6,200,000 16,600,000                                                     
      net (gains) losses on:
                                                               
      amortization of net (discounts) premiums for investment securities
          -56,500,000 -40,600,000 -28,000,000                                                   
      cash dividends paid on common stock and preferred stock
          -43,900,000 -43,700,000 -42,600,000 -42,600,000 -42,600,000 -42,400,000 -42,200,000 -41,100,000 -40,500,000                                             
      benefit from (recovery of) credit losses
               3,100,000 28,500,000 27,500,000 9,000,000                                             
      net decrease (increase) in loans hfi
           -819,700,000 357,400,000                                                   
      proceeds from issuance of preferred stock
                                                             
      proceeds from sales and payments on loans held for sale
            11,800,600,000 11,486,200,000 8,265,400,000 8,990,500,000 11,993,000,000 12,638,500,000 13,663,000,000 18,837,200,000                                            
      proceeds from issuance of common stock in offerings
               50,000,000 12,800,000 94,900,000                                             
      amortization of net premiums for investment securities
              2,000,000 4,000,000 4,800,000 5,400,000 6,900,000 9,000,000 9,400,000 10,700,000 10,700,000 9,185,000 6,886,000 6,520,000 5,609,000 6,064,000 4,603,000 3,424,000 3,004,000 3,452,000 2,722,000 2,012,000 4,500,000 6,419,000 4,007,000 3,463,000 2,766,000 2,960,000 2,682,000 2,103,000 2,030,000                     
      cash paid (refunded) during the period for:
                                                               
      net increase in unsettled loans hfi and investment securities purchased
              31,800,000                                                 
      transfers of loans hfi to hfs unsold at period end, net of fair value loss adjustment
              5,910,400,000                                                 
      adjustments to reconcile net income to cash from operating activities:
                                                               
      changes in other assets and liabilities
                15,300,000 -19,700,000 -39,400,000 -136,200,000 8,400,000 60,100,000 -89,900,000 30,086,000 -2,521,000 3,637,000 -41,602,000 37,705,000                                    
      net increase in cash, cash equivalents, and restricted cash
                -276,300,000 -716,500,000 2,085,900,000 -401,500,000 -2,477,900,000 -1,950,700,000 2,674,800,000 1,252,961,000 -99,728,000 1,102,753,000 -18,886,000 -437,463,000 -195,648,000 282,096,000 287,039,000 -201,992,000 193,746,000                               
      (recovery of) benefit from credit losses
                   13,200,000 12,300,000 -14,500,000 -32,400,000                                         
      change in fair value of mortgage servicing rights and other
                                                               
      proceeds from sale of mortgage servicing rights
                   70,700,000 334,500,000                                           
      cash consideration paid for amerihome acquisition, net of cash acquired
                                                               
      income from bank owned life insurance
                    -1,000,000 -900,000 -1,000,000 -1,230,000 -1,345,000 -1,063,000 -962,000 -963,000 -979,000 -978,000 -981,000 -983,000 -868,000 -965,000 -975,000 -973,000 -948,000 -1,029,000 -930,000 -1,166,000 -984,000 -772,000 -977,000 -1,464,000 -1,136,000 -959,000 -949,000                 
      purchases and originations of loans held for sale
                                                               
      change in fair value of loans held for sale
                    18,400,000                                           
      change in fair value of mortgage servicing rights
                    24,300,000                                           
      change in fair value of derivatives
                    -13,500,000                                           
      sale and valuation of investment securities and other assets
                    1,900,000 2,300,000 1,100,000                                         
      boli
                       7,000                                       
      purchase of investment tax credits
                    -21,300,000 -25,100,000 -22,600,000 -28,835,000 -40,830,000 -25,146,000 -37,389,000 -53,594,000 -49,467,000 -14,207,000 -24,400,000 -43,142,000 -33,825,000 -18,182,000 -9,160,000 -7,240,000 -3,516,000 -10,991,000 -6,782,000 -11,854,000 -5,699,000 -2,503,000 -9,381,000 -9,167,000 -6,369,000 -6,419,000 -10,529,000 -12,183,000 -16,430,000 -16,826,000 5,084,000 6,396,000 21,784,000           
      (purchase) sale of other investments
                    -21,000,000                                           
      net increase in loans held for investment
                    -5,699,300,000                                           
      cash consideration paid for amh acquisition, net of cash acquired
                                                              
      net cash (used in) investing activities
                    -5,284,100,000                                           
      net proceeds from issuance of subordinated debt
                    -400,000   -42,000 -151,000                                       
      redemption of subordinated debt
                                                               
      net increase in other borrowings
                    571,500,000 -2,728,500,000 -100,000                                         
      cash dividends paid on common stock
                    -36,500,000 -25,800,000 -25,300,000 -25,272,000 -25,208,000 -25,214,000 -25,606,000 -25,645,000                                    
      proceeds from issuance of stock in offerings
                    69,800,000 209,200,000                     11,187,000 -52,000                   
      purchases and originations of loans
                                                               
      proceeds on sales and payments from loans held for sale
                                                               
      sale of loans
                      700,000     -1,220,000 17,000 105,000 408,000 -204,000 -991,000 -1,062,000 10,000 55,000 52,000 458,000 -2,671,000  -68,000 -118,000 -201,000        6,000 6,000     -8,000 -8,000 
      net increase in loans
                      -1,611,100,000 -1,091,062,000 -980,032,000                                       
      (gains) / losses on:
                                                               
      sales of investment securities
                       30,000 -158,000 -72,000    424,000  -1,436,000 -319,000 47,000 -635,000 -1,001,000 -33,000 62,000 -55,000 -589,000                     
      assets measured at fair value
                       -4,786,000 -5,882,000 -4,432,000 11,300,000 -491,000 -222,000 -1,572,000 -2,834,000 640,000 1,212,000                               
      sales / valuations of repossessed and other assets
                       -165,000                                        
      redemption of principal
                       597,000 2,885,000 -98,000 4,216,000 10,063,000                                    
      proceeds from (purchase of) sbic investments
                        -1,602,000                                       
      purchase of money market investments
                                                               
      purchase of restricted stock
                        -182,000                                       
      proceeds from sale of other real estate owned and repossessed assets
                        660,000 1,338,000 5,075,000 697,000   619,000 693,000 447,000 2,477,000 15,382,000 2,889,000 2,667,000 2,141,000 15,565,000 15,687,000 12,935,000 1,440,000 357,000 10,829,000 1,220,000 13,512,000 22,729,000 2,357,000 12,813,000 5,343,000  9,402,000 7,252,000 9,986,000         
      net increase in borrowings
                        -5,748,000 -295,544,000 314,305,000 1,693,000 1,061,000 -1,220,000 -498,270,000 492,441,000 -72,052,000 389,950,000 -6,594,000 -3,050,000 -86,017,000 2,184,000 -151,849,000    -122,664,000 49,908,000   98,055,000 -50,962,000   218,272,000  44,486,000           
      proceeds from exercise of common stock options
                        73,000 27,000 70,000 25,000 19,000 36,000 20,000 60,000 259,000 343,000 184,000 214,000 305,000 197,000 201,000 744,000 793,000 5,520,000 778,000 1,293,000 703,000 1,671,000 1,105,000               
      cash paid for tax withholding on vested restricted stock
                        -515,000 -397,000 -7,458,000 -63,000 -1,531,000 -151,000 -7,900,000 -1,048,000 -1,063,000    -10,243,000 -96,000 -8,949,000                         
      income taxes, net of refunds
                        20,712,000 15,041,000 1,316,000 2,825,000 766,000 7,625,000 -34,619,000                                 
      amortization of net deferred loan fees
                                                               
      other assets acquired through foreclosure
                         -20,000 -1,452,000 24,000 -1,000   250,000 -74,000 5,000 -405,000 66,000 106,000 489,000 -160,000 -43,000 470,000 -1,940,000 -1,115,000 -218,000 -1,469,000 -11,000 -1,168,000 -3,536,000 -292,000               
      valuation adjustments of other repossessed assets
                           923,000 3,122,000 99,000 1,235,000 -1,000 344,000 156,000 -380,000 -134,000 -177,000 -749,000 -573,000 718,000 786,000 -881,000 882,000 258,000 35,000 1,464,000 697,000               
      sale of premises, equipment, and other assets
                           15,000 258,000 7,000 -2,000 -2,000 8,000 -39,000 327,000 -307,000 47,000 2,000 35,000 395,000 -1,000 4,000 -22,000                     
      accretion of fair market value adjustments on loans acquired from business combinations
                          -1,738,000 -2,537,000 -2,728,000 -4,596,000 -2,817,000 -4,466,000 -3,293,000 -7,241,000 -7,410,000 -7,191,000 -6,393,000  -5,315,000 -4,993,000 -8,033,000                       
      accretion and amortization of fair market value adjustments on other assets and liabilities acquired from business combinations
                          451,000 465,000 465,000 464,000 463,000 477,000 477,000 487,000 566,000 565,000 767,000 775,000 774,000 324,000 708,000                       
      purchase of sbic investments
                          -1,889,000 -3,390,000 -2,161,000 -1,567,000 -1,570,000 -1,066,000 -1,712,000                               
      (purchase) sale of money market investments
                               -2,000  -28,000 -57,000 -90,000  -5,798,000  -212,000 -212,000 -212,000                     
      (purchase) liquidation of restricted stock
                          -200,000 -133,000 -159,000 70,000 -155,000 -139,000 -37,000 -105,000 -323,000 47,000 -154,000 -447,000 -124,000 -126,000 -6,946,000 7,750,000 -26,499,000                     
      loan fundings and principal collections
                          -1,991,131,000 -983,245,000 -982,199,000 -1,078,073,000 -385,497,000 -994,970,000 -622,985,000 -693,893,000 -443,152,000 -394,273,000 -342,069,000 -296,290,000 -105,402,000 -325,576,000 -428,632,000 -74,735,000 -440,408,000 -443,467,000 -397,446,000 -397,080,000 -322,640,000 -340,534,000 -51,542,000               
      investment securities - trading
                                                               
      sale (purchase) of money market investments
                             7,000             -78,000                    
      non-cash operating, investing, and financing activity:
                                                               
      transfers to other assets acquired through foreclosure
                              420,000   88,000 10,638,000 996,000 14,111,000 5,739,000 7,720,000 4,621,000 2,737,000 4,309,000 2,110,000 10,901,000 2,737,000 4,238,000 7,035,000 8,787,000 10,811,000 3,787,000 4,914,000 20,580,000 6,573,000 9,263,000 11,175,000 20,337,000 22,291,000 22,392,000 22,290,000 
      losses / (gains) on:
                                                               
      unfunded commitments originated
                            50,558,000 95,817,000 1,735,000 101,863,000 7,000,000 170,229,000                              
      change in unrealized gain on afs securities, net of tax
                            8,638,000 35,923,000 31,377,000 25,503,000 -17,008,000   5,692,000 8,775,000 12,711,000 10,308,000 -10,398,000 5,524,000 -8,412,000 6,784,000 7,156,000 1,011,000 10,627,000 10,415,000 -6,085,000                
      change in unrealized gain on junior subordinated debt, net of tax
                            598,000 -1,334,000 -5,928,000 5,507,000 -2,028,000   -2,089,000 -1,229,000                           
      net increase in unfunded obligations
                            -76,812,000 30,713,000 12,787,000                                 
      non-cash charitable contribution
                                                              
      changes in:
                                                               
      other assets
                             5,632,000 -33,071,000 -16,041,000 -9,000,000 -116,989,000 1,992,000 -1,075,000 10,779,000 -24,163,000 21,271,000 -7,101,000 -11,640,000 5,853,000 2,889,000 14,166,000 -14,855,000 5,755,000 3,191,000   14,715,000 7,138,000 -19,178,000 -37,209,000 1,728,000 6,354,000 -9,938,000 6,145,000 -3,412,000 10,723,000 63,517,000 -57,997,000 -11,703,000 -34,811,000 
      other liabilities
                             23,200,000 37,924,000 15,985,000 14,204,000 25,551,000 -2,754,000 -61,000 -4,398,000 -694,000 -16,125,000 10,989,000 19,238,000 -32,794,000 16,798,000 3,337,000 23,202,000 -16,927,000 5,359,000   22,090,000 828,000 6,687,000 3,613,000 7,271,000 -8,169,000 6,920,000 -10,755,000 13,346,000 -1,601,000 -6,826,000 4,725,000 -8,852,000 -61,458,000 
      reinvestment of dividends
                             4,846,000 -151,000 -151,000                                
      cash and cash equivalents (used) acquired in acquisitions
                                                               
      proceeds from issuance of subordinated debt
                                       -239,000                       
      non-cash assets acquired in acquisition
                                                               
      non-cash liabilities acquired in acquisition
                                                               
      equity securities
                                                               
      change in unfunded obligations
                                -17,710,000   81,974,000 -114,716,000 -32,896,000 19,930,000 -24,818,000 -16,161,000 13,624,000 30,000 -1,617,000 -17,399,000 -26,131,000 16,625,000                 
      non-cash investing and financing activity:
                                                               
      excess tax benefit of stock-based compensation
                                 -1,438,000 -25,000 -552,000 -4,593,000 -28,000 -3,871,000 -214,000 -496,000 -585,000 -4,579,000                     
      changes in, net of acquisitions:
                                                               
      investment securities - measured at fair value
                                                               
      redemption of preferred stock
                                                              
      cash dividends paid on preferred stock
                                       -151,000 -176,000 -247,000 -176,000 -329,000 -353,000 -352,000 -353,000 -352,000 -353,000 -352,000 -353,000 -353,000 -352,000 -1,325,000 -1,763,000   -1,750,000 -1,750,000 -1,750,000 -1,750,000 -1,750,000 -1,750,000 
      cash and cash equivalents at beginning of period
                                 284,491,000 224,640,000 164,396,000                     
      cash and cash equivalents at end of period
                                 -233,586,000 43,679,000 -40,359,000 647,034,000 -334,734,000 1,030,977,000 -100,770,000 -432,926,000 265,934,000 492,402,000  -120,512,000 -86,643,000 465,925,000 -203,519,000 126,082,000 -173,324,000 556,275,000  128,997,000 -833,000 179,753,000         
      purchases of treasury stock
                                  -3,353,000                             
      cash paid (returned) during the period for:
                                                               
      non-cash investing and financing activities during the period for:
                                                               
      changes in unrealized gain on afs securities, net of tax
                                                               
      changes in unrealized gain on junior subordinated debt, net of tax
                                                               
      non-cash investing and financing activities:
                                                               
      change in unfunded lihtc and sbic commitments
                                   36,849,000 30,869,000  26,961,000                         
      unrealized losses on assets and liabilities measured at fair value
                                       -2,731,000 -5,510,000 7,885,000 309,000                     
      early extinguishment of debt
                                                               
      transfer of htm securities to afs, amortized cost
                                                              
      unrealized gain on transfer of htm securities to afs, net of tax
                                                             
      accretion and amortization of fair market value adjustments on loans acquired from business combinations
                                                               
      income tax payments
                                                               
      change in unfunded investment tax credits and sbic commitments
                                        2,484,000 4,168,000 -2,000,000                     
      change in unrealized gain on trup securities, net of tax
                                     575,000 759,000                         
      income tax (refunds) payments
                                      -6,278,000                         
      acquisition of centennial
                                                               
      cash and cash equivalents acquired in acquisitions
                                                               
      cash and cash equivalents acquired in bridge acquisition
                                                              
      net decrease in borrowings
                                        184,057,000                    72,548,000   
      non-cash assets acquired in bridge acquisition
                                        -3,301,000                       
      non-cash liabilities acquired in bridge acquisition
                                        3,195,000                       
      accretion of fair market value adjustments due to acquisitions of loans
                                          -1,478,000                     
      accretion and amortization of fair market value adjustments due to acquisitions of other assets and liabilities
                                          78,000                     
      net amortization of discounts and premiums for investment securities
                                           1,998,000 1,989,000 1,998,000 2,050,000 2,069,000 2,484,000 2,597,000 2,577,000 2,772,000 2,656,000 2,715,000 2,656,000 2,646,000 1,521,000 1,476,000 2,696,000 1,827,000 1,721,000 1,286,000 1,475,000 
      goodwill and intangible impairment
                                                              
      accretion and amortization of fair market value adjustments due to acquisitions of loans
                                                               
      unrealized (gains) / losses on assets and liabilities measured at fair value
                                                               
      sale of minority interest in miller / russell & associates, inc
                                                               
      liquidation of restricted stock
                                             4,911,000 978,000 -1,397,000 1,169,000 1,908,000 1,381,000    1,187,000 -461,000 1,452,000  1,390,000   
      cash and cash equivalents acquired in acquisition
                                                             
      cash and cash equivalents at beginning of year
                                           305,514,000 204,625,000 154,995,000 216,746,000 396,830,000 
      cash and cash equivalents at end of year
                                                       -150,973,000 -228,592,000 171,222,000 363,338,000 -399,209,000 55,332,000 -269,417,000 830,040,000 
      cash paid during the year for:
                                                               
      unfunded commitments to purchase investment tax credits and sbic commitments
                                                               
      non-cash assets acquired in acquisitions
                                                               
      non-cash liabilities acquired in acquisitions
                                                               
      deferred income taxes and income taxes receivable
                                            -1,248,000 -4,969,000 -1,696,000 -14,164,000 22,451,000 -18,936,000 -1,754,000 5,597,000 7,344,000 5,294,000 3,487,000 1,424,000 7,190,000 3,717,000 2,972,000 -10,775,000 1,184,000 1,882,000 117,000 
      accretion and amortization of fair market value adjustments due to acquisitions
                                            -4,419,000 -5,850,000 -3,305,000 -2,573,000 -3,467,000               
      sales of securities, afs
                                            -181,000 163,000 -366,000 -342,000 1,680,000 4,000 -147,000 -1,447,000 -1,031,000 -1,110,000 -361,000   -2,666,000 -1,379,000 -5,460,000 -6,079,000 -8,218,000 
      acquisition of centennial bank
                                                              
      sale of premises and equipment and other assets
                                            -1,369,000 -66,000 -1,411,000                 
      fair value of assets and liabilities measured at fair value
                                            -896,000 -235,000 1,276,000 2,618,000 104,000 3,290,000 471,000 48,000 -469,000 -565,000 333,000 626,000 -6,420,000 -336,000 509,000 6,710,000 210,000 -6,250,000 -301,000 
      sale and purchase of premises and equipment
                                            -5,012,000 -4,388,000 -1,103,000 -16,401,000 -1,344,000 -367,000 -761,000 -2,603,000 -1,466,000 -2,574,000 -1,911,000 -931,000 471,000 1,320,000 229,000 92,000 -591,000 -1,577,000 3,498,000 
      net decrease in customer repurchase agreements
                                                               
      proceeds from securities sold short
                                                               
      unfunded commitments to purchase investment tax credits
                                            12,298,000 28,172,000 9,380,000 -34,134,000 46,582,000 18,604,000 5,982,000           
      non-cash assets acquired in centennial bank acquisition
                                                               
      non-cash liabilities acquired in centennial bank acquisition
                                                               
      change in unrealized loss on cash flow hedge, net of tax
                                                               
      sale / (purchase) of money market investments
                                             -556,000 1,781,000                 
      liquidation (purchase) of restricted stock
                                                      934,000         
      net decrease in customer repurchases
                                                3,658,000               
      proceeds from repurchase securities
                                                               
      repayment on other borrowings
                                                               
      securities impairment
                                                         12,000 1,071,000 103,000 
      acquisitions
                                                               
      sale of premises and equipment
                                               -81,000 -34,000 -48,000 -43,000 -32,000 -43,000 -85,000 64,000 -38,000 744,000 -333,000 300,000     
      sale of minority interest in miller / russell & associates, inc.
                                                               
      investment securities - available-for-sale
                                                               
      investment securities - held-to-maturity
                                                               
      (purchase) / sale of money market investments
                                               1,544,000                
      repurchase of warrant
                                                               
      change in unrealized gain on cash flow hedge, net of tax
                                                              
      other assets/liabilities
                                                               
      investment securities—measured at fair value principal pay downs and maturities
                                                               
      investment securities—available-for-sale
                                                               
      investment securities—held-to-maturity principal pay downs and maturities
                                                               
      proceeds from loan sales
                                                   3,445,000         
      assets acquired in centennial merger transaction
                                                               
      liabilities assumed in centennial merger transaction
                                                              
      derivatives
                                                 -57,000 48,000 48,000 49,000 50,000 49,000 65,000 52,000 52,000 69,000 67,000 338,000 -69,000 -67,000 
      securities measured at fair value
                                                               
      securities available-for-sale
                                                               
      securities held-to-maturity
                                                               
      proceeds from maturities of securities
                                                               
      purchases of securities
                                                               
      investment in money market
                                                 -1,505,000 -132,000 5,102,000 -2,136,000 1,224,000 2,489,000 6,959,000 9,443,000 6,202,000 7,786,000 -36,098,000 3,428,000 8,242,000 40,724,000 
      net increase / (decrease) in borrowings
                                                               
      non-cash assets acquired in centennial merger transaction
                                                               
      change in unrealized holding (loss) / gain on afs securities, net of tax
                                                               
      change in unrealized holding gain on cash flow hedge, net of tax
                                                               
      accretion of discounts on loans acquired
                                                  -3,288,000             
      (gains)/losses on:
                                                               
      sale of repossessed assets
                                                  562,000 561,000 169,000 986,000 2,587,000 7,843,000 1,384,000 8,966,000 5,829,000     
      principal pay downs and maturities of securities measured at fair value
                                                  279,000 401,000 397,000 254,000 303,000 454,000 288,000 571,000 3,606,000 2,010,000 3,190,000 1,125,000 9,284,000 
      proceeds from sale of available-for-sale securities
                                                  4,072,000 81,743,000 22,631,000 105,698,000 15,224,000 52,178,000 167,165,000 213,823,000 72,996,000 3,241,000 153,887,000 152,813,000 182,218,000 
      principal pay downs and maturities of available-for-sale securities
                                                  51,196,000 61,049,000 78,595,000 62,384,000 163,449,000 88,214,000 126,712,000 75,722,000 33,512,000 161,460,000 60,404,000 605,121,000 40,682,000 
      purchase of available-for-sale securities
                                                  -124,909,000 -44,664,000 -26,547,000 -144,077,000 -106,995,000 -225,383,000 -375,772,000 -68,338,000 -174,320,000 -476,436,000 -290,686,000 -839,744,000 -183,623,000 
      purchases of securities held-to-maturity
                                                     -3,000 -113,632,000 -90,838,000       
      loan originations and principal collections
                                                  -124,390,000 -306,189,000 -187,919,000 -256,362,000 -168,648,000 -290,018,000 -136,708,000 -156,610,000 -63,247,000 -170,226,000 -68,329,000 -96,660,000 -4,116,000 
      net cash (used) in investing activities
                                                  -183,049,000  -83,143,000 -231,720,000 -81,727,000         
      proceeds from exercise of stock options
                                                  1,118,000             
      depreciation and amortization/accretion
                                                               
      accretion of discount on loans acquired
                                                               
      acquisition of western liberty
                                                               
      sale of subsidiary/minority interest
                                                               
      changes in, net of effects of acquisitions
                                                               
      servicing rights
                                                   1,000 1,000 7,000 2,000 2,000 25,000 3,000 161,000 9,000 8,000 9,000 9,000 
      proceeds from sale of securities measured at fair value
                                                         16,680,000 4,666,000 8,064,000 5,000 
      proceeds from maturities of securities held-to-maturity
                                                   5,000,000 732,000        1,655,000 
      proceeds from sale of other real estate owned and repossessed assets
                                                               
      net increase/ (decrease) in borrowings
                                                      -169,274,000  -6,064,000 -14,754,000 53,995,000    -63,547,000 
      proceeds from excercise of common stock options
                                                               
      proceeds from issuance stock
                                                           1,000    
      net increase/ (decrease) in cash and cash equivalents
                                                          146,592,000     
      non-cash assets acquired in western liberty merger transaction
                                                               
      liabilities assumed in western liberty merger trasaction
                                                               
      change in unrealized holding loss on afs securities, net of tax
                                                               
      change in otti on htm securities, net of tax
                                                               
      sale of minority interest in miller/russell & associates, inc.
                                                               
      exercise of stock options
                                                    2,068,000 552,000         
      goodwill impairment
                                                               
      sale of subsidiary
                                                               
      deposits purchased from the fdic
                                                               
      net increase/(decrease) in borrowings
                                                               
      proceeds from issuance of common stock options and stock warrants
                                                       50,000 312,000 85,000 1,000   
      net (decrease)/increase in cash and cash equivalents
                                                               
      sales of securities, afs securities
                                                               
      proceeds from issuance of stock
                                                               
      dividends paid on preferred stock
                                                               
      assets transferred to held for sale
                                                            -14,000 -364,000 480,000 
      proceeds from sale of other real estate owned
                                                         13,751,000 13,815,000     
      adjustments to reconcile net income
                                                               
      to cash from operating activities:
                                                               
      purchases of securities measured at fair value
                                                               
      payments to repurchase common stock
                                                               
      net income/
                                                            2,009,000   
      adjustments to reconcile net income/ (loss) to cash from operating activities:
                                                               
      sales of repossessed assets and premises
                                                            4,856,000 11,994,000 -1,014,000 
      purchase of short-term investments
                                                               
      purchase of securities held-to-maturity
                                                               
      principal pay downs and maturities of securities held-to-maturity
                                                              
      sale of other real estate owned
                                                            11,881,000 2,409,000 10,158,000 
      deposits assumed from the fdic
                                                               
      accretion of discount on preferred stock
                                                            -716,000 -717,000 -716,000 
      net (loss)/ income
                                                              384,000 
      adjustments to reconcile net (loss)/ income to cash from operating activities:
                                                               
      purchases of restricted stock
                                                               
      net increase/ (decrease) in deposits
                                                              468,028,000 
      cash paid in acquisition settlement
                                                               
      proceeds from issuance of junior subordinated debt
                                                               
      re-payment of junior subordinated debt
                                                               
      change in otti on htm, net of tax
                                                               
      stock and stock options issued in connection with acquisitions
                                                               
      business combination:
                                                               
      fair value of assets acquired, excluding intangibles
                                                               
      goodwill and other intangibles acquired
                                                               
      liabilities assumed
                                                               
      common stock and options issued
                                                               
      cash acquired from acquisitions
                                                               
      cash (received) for acquisitions
                                                               
      benefit from loan losses
                                                               
      goodwill impairment charge
                                                               
      securities impairment charges
                                                               
      change in fair value of assets and liabilities measured at fair value
                                                               
      net gain on sale of investment securities
                                                               
      net income on repossessed assets
                                                               
      deferred taxes and income taxes receivable
                                                               
      decrease (increase) in other assets
                                                               
      increase in other liabilities
                                                               
      other operating activities
                                                               
      purchases of securities and short term investments
                                                               
      proceeds from the sale of securities
                                                               
      net increase in loans made to customers, net of charge-offs
                                                               
      purchase of premises and equipment
                                                               
      proceeds from sale of premises and equipment
                                                               
      purchases (liquidations) of restricted stock
                                                               
      other investing activities
                                                               
      net proceeds from stock issued in offerings
                                                               
      net (repayments on) proceeds from borrowings
                                                               
      proceeds from exercise of stock options and stock warrants
                                                               
      cash dividends paid
                                                               
      stock repurchases
                                                               
      increase in cash and cash equivalents
                                                               
      cash and cash equivalents, beginning of period
                                                               
      cash and cash equivalents, end of period
                                                               
      supplemental disclosure of cash flow information
                                                               
      cash payments for interest
                                                               
      cash payments for income taxes
                                                               
      supplemental disclosure of noncash investing and financing activities
                                                               
      transfers of loans to other real estate owned
                                                               
      losses (gains) on sale of other real estate owned
                                                               
      deferred taxes
                                                               
      decrease in other assets
                                                               
      decrease in other liabilities
                                                               
      net decrease (increase) in loans made to customers, net of charge-offs
                                                               
      (liquidations) purchases of restricted stock
                                                               
      net proceeds from (repayments on) borrowings
                                                               
      other financing activities
                                                               
      net decrease (increase) in loans made to customers
                                                               
      other real estate owned acquisitions
                                                               
      preferred stock discount accretion
                                                               
      trading securities in the process of settlement
                                                               
      derivative (gains) losses
                                                               
      gain) loss on sale of securities
                                                               
      compensation cost on restricted stock
                                                               
      stock based compensation expense
                                                               
      decrease (increase) in accrued interest receivable
                                                               
      (increase) in bank-owned life insurance
                                                               
      (increase) in income tax receivable
                                                               
      (increase) in other assets
                                                               
      increase in accrued interest payable and other liabilities
                                                               
      purchases of securities held to maturity
                                                               
      proceeds from maturities of securities held to maturity
                                                               
      purchases of securities available for sale
                                                               
      proceeds from maturities of securities available for sale
                                                               
      proceeds from the sale of securities available for sale
                                                               
      proceeds from maturities of securities measured at fair value
                                                               
      proceeds from the sale of securities measured at fair value
                                                               
      net cash paid (received) in settlement of acquisition
                                                               
      net increase in loans made to customers
                                                               
      purchase of bank-owned life insurance
                                                               
      net (repayments) proceeds from borrowings
                                                               
      proceeds from issuance of junior subordinated and subordinated debt
                                                               
      repayment of junior subordinated debt
                                                               
      excess tax benefits from share-based payment arrangements
                                                               
      cost of issuing stock in acquisition or offering
                                                               
      proceeds from stock issuance
                                                               
      cash and cash equivalents, beginning of year
                                                               
      cash and cash equivalents, end of year
                                                               
      supplemental disclosure of cash flow information:
                                                               
      supplemental disclosure of noncash investing and financing activities:
                                                               
      transfer of loans to other real estate owned
                                                               
      cash paid (received) for acquisitions
                                                               
      increase in other assets
                                                               
      net cash received in settlement of acquisition
                                                               
      stock issued in private placement
                                                               
      net decrease in deposits
                                                               
      net proceeds from borrowings
                                                               
      proceeds from issuance of junior subordinated debt and subordinated debt
                                                               
      payments in redemption of trust preferred securities
                                                               
      stock issued in connection with acquisition
                                                               
      decrease in accrued interest receivable and other assets
                                                               
      decrease in accrued interest payable and other liabilities
                                                               
      (purchases) liquidations of restricted stock
                                                               
      net amortization of securities premiums
                                                               
      stock dividends received
                                                               
      (gain) loss on sale of securities
                                                               
      derivative losses
                                                               
      (increase) in accrued interest receivable
                                                               
      purchased mortgages
                                                               
      cost of issuing stock in acquisition
                                                               
      cash payments for interest, net of capitalized interest
                                                               
      acquisition of premises and equipment funded with borrowings
                                                               
      loan transferred to other real estate
                                                               
      securities available for sale in process of settlement
                                                               
      (decrease) in accrued interest payable and other liabilities
                                                               
      net unrealized loss on assets and liabilities measured at fair value
                                                               
      stock dividends received, restricted securities
                                                               
      compensation cost on restricted stock grants
                                                               
      net cash paid in settlement of acquisition
                                                               
      liquidation (purchase) of restricted securities
                                                               
      net (increase) in loans made to customers
                                                               
      stock dividends received, fhlb stock
                                                               
      (gain) loss on sales of securities available for sale
                                                               
      decrease in accrued interest receivable
                                                               
      increase in bank-owned life insurance
                                                               
      net cash received in settlement of acquisitions
                                                               
      proceeds from redemption of federal home loan bank stock
                                                               
      increase in accrued interest receivable
                                                               
      proceeds from sale (purchase) of federal home loan bank stock
                                                               
      stock and stock options issued in connection with acquisition
                                                               
      receivable from initial public offering, net of offering cost and commissions
                                                               
      stock based plans expense
                                                               
      (decrease) in accrued interest receivable
                                                               
      net repayments on borrowings
                                                               
      proceeds from sale of federal home loan bank stock
                                                               
      receivable from initial public offering, net of offering costs and commissions
                                                               
    The information provided in this report 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.