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Consolidated Statements of Condition (USD $)
In Thousands
Sep. 30, 2011
Dec. 31, 2010
Assets  
Interest-Bearing Deposits$ 3,543$ 3,472
Funds Sold242,062438,327
Investment Securities  
Available-for-Sale4,448,8986,533,874
Held-to-Maturity (Fair Value of $2,610,081 and $134,028)2,520,422127,249
Loans Held for Sale12,74517,564
Loans and Leases5,348,4725,335,792
Allowance for Loan and Lease Losses(143,410)(147,358)
Net Loans and Leases5,205,0625,188,434
Total Earning Assets12,432,73212,308,920
Cash and Noninterest-Bearing Deposits206,875165,748
Premises and Equipment104,509108,170
Customers' Acceptances749437
Accrued Interest Receivable43,31941,151
Foreclosed Real Estate3,3411,928
Mortgage Servicing Rights23,99025,379
Goodwill31,51731,517
Other Assets457,726443,537
Total Assets13,304,75813,126,787
Deposits  
Noninterest-Bearing Demand2,702,2962,447,713
Interest-Bearing Demand1,745,8121,871,718
Savings4,449,3514,526,893
Time1,111,5541,042,671
Total Deposits10,009,0139,888,995
Funds Purchased9,8829,478
Short-Term Borrowings6,4006,200
Securities Sold Under Agreements to Repurchase1,929,2661,901,084
Long-Term Debt30,70532,652
Banker's Acceptances749437
Retirement Benefits Payable30,70430,885
Accrued Interest Payable6,7515,007
Taxes Payable and Deferred Taxes114,842121,517
Other Liabilities148,671119,399
Total Liabilities12,286,98312,115,654
Shareholders' Equity  
Common Stock ($.01 par value; authorized 500,000,000 shares; issued / outstanding: September 30, 2011 - 57,132,310 / 46,570,413 and December 31, 2010 - 57,115,287 / 48,097,672)571570
Capital Surplus503,255500,888
Accumulated Other Comprehensive Income46,75426,965
Retained Earnings986,202932,629
Treasury Stock, at Cost (Shares: September 30, 2011 - 10,561,897 and December 31, 2010 - 9,017,615)(519,007)(449,919)
Total Shareholders' Equity1,017,7751,011,133
Total Liabilities and Shareholders' Equity$ 13,304,758$ 13,126,787