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CONSOLIDATED CONDENSED STATEMENTS OF CASH FLOWS (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Cash Flow From Operating Activities:    
Net Income $ 33,083 $ 34,812
Adjustments to reconcile net income to net cash provided by operating activities:    
Provision for loan losses 5,632 14,029
Depreciation and amortization 3,932 3,432
Change in deferred taxes 12,647 11,239
Share-based compensation 1,285 1,101
Mortgage loans originated for sale (242,014) (314,240)
Proceeds from sales of mortgage loans 259,002 304,393
Gain on acquisition    (9,124)
Gains on sales of securities available for sale (487) (2,134)
Change in interest receivable 196 732
Change in interest payable (686) (1,701)
Other adjustments (6,329) 4,650
Net cash provided by operating activities 66,261 47,189
Cash Flows from Investing Activities:    
Net change in interest-bearing deposits 19,568 17,527
Purchases of:    
Securities available for sale (216,731) (129,297)
Securities held to maturity (9,026) (566)
Proceeds from sales of securities available for sale 25,222 43,147
Proceeds from maturities of:    
Securities available for sale 79,209 77,898
Securities held to maturity 59,642 49,073
Change in Federal Reserve and Federal Home Loan Bank stock (5) 207
Net change in loans (37,528) (52,442)
Net cash received from acquisition    29,113
Proceeds from the sale of other real estate owned 5,574 4,295
Other adjustments (5,569) 351
Net cash provided (used) by investing activities (79,644) 39,306
Net change in :    
Demand and savings deposits 69,475 42,994
Certificates of deposit and other time deposits (160,012) (108,807)
Proceeds from borrowings 215,923 138,127
Repayment of borrowings (58,686) (169,988)
Cash dividends on common stock (3,795) (2,031)
Cash dividends on preferred stock (2,139) (3,404)
Stock issued under employee benefit plans 389 354
Stock issued under dividend reinvestment and stock purchase plans 236 143
Stock options exercised 97 67
Stock redeemed (484) (235)
Preferred stock redeemed (SBLF) (56,740)   
Net cash provided (used) by financing activities 4,264 (102,780)
Net Change in Cash and Cash Equivalents (9,119) (16,285)
Cash and Cash Equivalents, January 1 101,460 73,312
Cash and Cash Equivalents, September 30 92,341 57,027
Additional cash flow information:    
Interest paid 12,683 20,248
Income tax paid 5,378 5,988
Loans transferred to other real estate owned 5,045 4,364
Fixed assets transferred to other real estate owned 461  
Non-cash investing activities using trade date accounting 713 3,043
Liabilities assumed, net of cash    $ 166,112