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Consolidated Balance Sheets - USD ($)
$ in Thousands
Jun. 30, 2015
Dec. 31, 2014
[1]
Jun. 30, 2014
ASSETS      
Cash and due from banks $ 183,541 $ 204,231 $ 201,196
Interest bearing deposits with other banks 34,438 153,019 44,949
Available-for-sale securities, at fair value 2,251,153 2,156,927 2,332,192
Loans and leases 10,041,455 9,749,540 9,347,429
Less: Unearned income 33,884 36,604 35,768
Allowance for credit losses 138,312 142,443 147,132
Net loans and leases 9,869,259 9,570,493 9,164,529
Loans held for sale, at fair value 199,370 141,015 105,643
Premises and equipment, net 303,837 304,943 310,515
Accrued interest receivable 41,065 41,985 40,697
Goodwill 291,498 291,498 291,498
Other identifiable intangibles 22,415 24,508 26,745
Bank-owned life insurance 247,983 247,076 241,962
Other real estate owned 24,299 33,984 55,253
Other assets 166,073 156,690 170,708
TOTAL ASSETS 13,634,931 13,326,369 12,985,887
Deposits:      
Demand: Noninterest bearing 2,911,972 2,778,686 2,718,242
Interest bearing 4,881,469 4,868,054 4,511,760
Savings 1,407,616 1,331,963 1,299,203
Other time 1,933,904 1,993,636 2,141,209
Total deposits 11,134,961 10,972,339 10,670,414
Federal funds purchased and securities sold under agreement to repurchase 375,980 388,166 394,446
Short-term Federal Home Loan Bank and other short-term borrowings 92,500 3,500 2,000
Accrued interest payable 3,494 3,400 3,926
Junior subordinated debt securities 23,198 23,198 23,198
Long-term debt 73,962 78,148 83,835
Other liabilities 250,640 251,559 219,218
TOTAL LIABILITIES 11,954,735 11,720,310 11,397,037
SHAREHOLDERS' EQUITY      
Common stock, $2.50 par value per share Authorized - 500,000,000 shares; Issued - 96,755,530, 96,254,903 and 96,046,057 shares, respectively 241,889 240,637 240,118
Capital surplus 337,272 324,271 321,952
Accumulated other comprehensive (loss) income (41,288) (43,686) (15,040)
Retained earnings 1,142,323 1,084,837 1,041,820
TOTAL SHAREHOLDERS' EQUITY 1,680,196 1,606,059 1,588,850
TOTAL LIABILITIES AND SHAREHOLDERS' EQUITY $ 13,634,931 $ 13,326,369 $ 12,985,887
[1] Derived from audited financial statements.See accompanying notes to consolidated financial statements.