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CONSOLIDATED STATEMENTS OF FINANCIAL CONDITION (UNAUDITED) - USD ($)
$ in Thousands
Jun. 30, 2026
Dec. 31, 2025
Assets:    
Cash and due from banks $ 365,013 $ 402,755
Money market investments:    
Time deposits with other banks 4,555,489 4,626,506
Total money market investments 4,555,489 4,626,506
Trading account debt securities, at fair value 31,170 36,569
Debt securities available-for-sale, at fair value:    
Pledged securities with creditors’ right to repledge 79,454 30,687
Other debt securities available-for-sale 24,713,380 20,544,285
Debt securities available-for-sale 24,792,834 20,574,972
Debt securities held-to-maturity, at amortized cost:    
Pledged securities with creditors’ right to repledge 0 9,298
Other debt securities held-to-maturity 6,204,020 7,318,231
Debt securities held-to-maturity (fair value 2026 - $6,176,976; 2025 - $7,363,587) 6,204,020 7,327,529
Less -Allowance for credit losses 6,230 5,812
Debt securities held-to-maturity, net 6,197,790 7,321,717
Equity securities (realizable value 2026 - $236,711; 2025 - $230,388) 236,674 229,848
Loans held-for-sale, at fair value 88,579 9,998
Loans held-in-portfolio 40,156,582 39,749,142
Less - Unearned income 406,720 421,624
Allowance for credit losses 784,832 808,056
Total loans held-in-portfolio, net 38,965,030 38,519,462
Premises and equipment, net 731,945 685,820
Other real estate 49,557 42,433
Accrued income receivable 307,251 300,824
Mortgage servicing assets, at fair value 94,485 96,356
Other assets 1,762,221 1,705,977
Goodwill 789,954 789,954
Other intangible assets 4,308 5,076
Total assets 78,972,300 75,348,267
Deposits:    
Non-interest bearing 15,096,293 15,304,209
Interest bearing 55,136,822 50,885,884
Total deposits 70,233,115 66,190,093
Assets sold under agreements to repurchase 77,521 39,001
Other short-term borrowings 675,000 650,000
Notes payable 710,310 759,577
Other liabilities 843,349 1,460,517
Total liabilities 72,539,295 69,099,188
Commitments and contingencies (Refer to Note 16)
Stockholders’ equity:    
Preferred stock, 30,000,000 shares authorized; 885,726 shares issued and outstanding (2025 - 885,726) 22,143 22,143
Common stock, $0.01 par value; 170,000,000 shares authorized; 104,950,834 shares issued (2025 - 104,921,229) and 63,866,681 shares outstanding (2025 - 65,719,385) 1,050 1,049
Surplus 4,937,091 4,924,296
Retained earnings 5,632,866 5,206,497
Treasury stock - at cost, 41,084,153 shares (2025-39,201,844) (3,000,759) (2,722,819)
Accumulated other comprehensive loss, net of tax (1,159,386) (1,182,087)
Total stockholders’ equity 6,433,005 6,249,079
Total liabilities and stockholders’ equity $ 78,972,300 $ 75,348,267