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Consolidated Balance Sheets - USD ($)
$ in Thousands
Dec. 31, 2023
Dec. 31, 2022
ASSETS    
Loans $ 23,172,484 $ 21,031,189
Allowance for credit losses on loans (219,738) (191,836)
Net loans 22,952,746 20,839,353
Loans held for sale 4,420 1,978
Securities:    
Available for sale (amortized cost of $7,692,860 and $7,777,950, respectively) 7,068,613 7,006,347
Held to maturity, net of allowance for credit losses of $3,258 and $2,407 respectively (fair value of $5,183,367 and $5,280,659, respectively) 5,688,610 5,859,192
Trading securities 18,093 17,980
Other securities 492,935 349,758
Total securities 13,268,251 13,233,277
Federal funds sold and securities purchased under agreements to resell 245,344 958,597
Interest-bearing due from banks 5,159,802 1,179,105
Cash and due from banks 447,201 500,682
Premises and equipment, net 241,700 263,649
Accrued income 220,306 189,231
Goodwill 207,385 207,385
Other intangibles, net 71,012 78,724
Other assets 1,193,507 1,060,480
Total assets 44,011,674 38,512,461
Deposits:    
Noninterest-bearing demand 12,130,662 13,260,363
Interest-bearing demand and savings 20,588,606 18,461,632
Time deposits under $250,000 2,292,899 379,087
Time deposits of $250,000 or more 780,692 538,051
Total deposits 35,792,859 32,639,133
Federal funds purchased and repurchase agreements 2,119,644 2,222,167
Short-term debt 1,800,000  
Long-term debt 383,247 381,311
Accrued expenses and taxes 389,860 239,624
Other liabilities 425,645 363,133
Total liabilities 40,911,255 35,845,368
SHAREHOLDERS’ EQUITY    
Common stock, $1.00 par value; 80,000,000 shares authorized; 55,056,730 shares issued, 48,554,127 and 48,319,404 shares outstanding, respectively 55,057 55,057
Capital surplus 1,134,363 1,125,949
Retained earnings 2,810,824 2,536,086
Accumulated other comprehensive loss, net (556,935) (702,735)
Treasury stock, 6,502,603 and 6,737,326 shares, at cost, respectively (342,890) (347,264)
Total shareholders' equity 3,100,419 2,667,093
Total liabilities and shareholders' equity $ 44,011,674 $ 38,512,461