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Condensed Parent Company Information (Tables)
12 Months Ended
Dec. 31, 2022
Condensed Financial Information Disclosure [Abstract]  
Condensed Balance Sheets
CONDENSED BALANCE SHEETSAs of December 31,
($ in thousands)20222021
Assets
Cash on deposit with bank subsidiary
$5,611 18,625 
Investment in wholly-owned subsidiaries, at equity
1,100,829 1,279,285 
Premises and Equipment
Other assets
22 5,056 
Total assets
$1,106,469 1,302,973 
Liabilities and shareholders’ equity
Trust preferred securities
$65,665 65,412 
Other liabilities
9,208 6,986 
Total liabilities
74,873 72,398 
Shareholders’ equity1,031,596 1,230,575 
Total liabilities and shareholders’ equity
$1,106,469 1,302,973 
Condensed Statements of Income
CONDENSED STATEMENTS OF INCOMEYear Ended December 31,
($ in thousands)202220212020
Dividends from wholly-owned subsidiaries
$17,400 25,300 63,100 
Earnings of wholly-owned subsidiaries, net of dividends
133,147 75,697 20,899 
Interest expense
(2,672)(1,455)(1,743)
All other expense, net(939)(3,898)(779)
Net income
$146,936 95,644 81,477 
Condensed Statements of Cash Flows
CONDENSED STATEMENTS OF CASH FLOWSYear Ended December 31,
($ in thousands)202220212020
Operating Activities:
   
Net income
$146,936 95,644 81,477 
Equity in undistributed earnings of subsidiaries(133,147)(75,697)(20,899)
Decrease in other assets4,055 3,924 5,806 
Increase (decrease) in other liabilities642 (859)(3)
Total – operating activities18,486 23,012 66,381 
Investing Activities:
   
Net cash received in acquisitions— 7,379 — 
Total - investing activities— 7,379 — 
Financing Activities:
Payment of common stock cash dividends
(30,660)(22,228)(20,936)
   Repurchases of common stock— (4,036)(31,868)
Stock withheld for payment of taxes
(840)(786)(307)
Total - financing activities(31,500)(27,050)(53,111)
Net (decrease) increase in cash(13,014)3,341 13,270 
Cash, beginning of year
18,625 15,284 2,014 
Cash, end of year
$5,611 18,625 15,284