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CONSOLIDATED BALANCE SHEETS - USD ($)
$ in Thousands
Jun. 30, 2020
Dec. 31, 2019
Assets    
Cash and cash equivalents $ 4,988,961 $ 5,563,877
Investments    
Trading investments at fair value (cost of $12,551) 14,261 0
Available-for-sale investments at fair value (cost of $2,013,021 and $485,756, respectively) 2,020,948 487,669
Other investments 81,967 84,420
Total investments 2,117,176 572,089
Loans held for investment (net of allowance for losses of $1,929,323 and $441,912, respectively) 21,163,931 24,667,792
Restricted cash 115,192 156,883
Other interest-earning assets 74,902 52,564
Accrued interest receivable 1,392,677 1,392,725
Premises and equipment, net 147,738 134,749
Income taxes receivable, net 340,779 88,844
Tax indemnification receivable 28,125 27,558
Other assets 42,629 29,398
Total assets 30,412,110 32,686,479
Liabilities    
Deposits 23,592,119 24,283,983
Short-term borrowings 0 289,230
Long-term borrowings 4,449,767 4,354,037
Upromise member accounts 0 192,662
Other liabilities 353,305 254,731
Total liabilities 28,395,191 29,374,643
Commitments and contingencies
Equity    
Series B: 4 million and 4 million shares issued, respectively, at stated value of $100 per share 400,000 400,000
Common stock, par value $0.20 per share, 1.125 billion shares authorized: 456.5 million and 453.6 million shares issued, respectively 91,317 90,720
Additional paid-in capital 1,234,450 1,307,630
Accumulated other comprehensive loss (net of tax benefit of ($14,314) and ($3,995), respectively) (44,071) (12,367)
Retained earnings 1,133,269 1,850,512
Total SLM Corporation stockholders’ equity before treasury stock 2,814,965 3,636,495
Less: Common stock held in treasury at cost: 81.3 million and 32.5 million shares, respectively (798,046) (324,659)
Total equity 2,016,919 3,311,836
Total liabilities and equity $ 30,412,110 $ 32,686,479