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CONSOLIDATED STATEMENTS OF CONDITION (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2013
Dec. 31, 2012
Assets:    
Cash and cash equivalents $ 1,319,710 $ 2,427,258
Securities:    
Available-for-sale ($86,531 and $196,300 pledged, respectively) 315,090 [1] 429,266 [2]
Held-to-maturity ($4,551,901 and $4,084,380 pledged, respectively) (fair value of $5,540,835 and $4,705,960, respectively) 5,626,605 [3] 4,484,262 [4]
Total securities 5,941,695 4,913,528
Non-covered loans held for sale 756,601 1,204,370
Non-covered loans held for investment, net of deferred loan fees and costs 28,051,342 27,284,464
Less: Allowance for losses on non-covered loans (140,689) (140,948)
Non-covered loans held for investment, net 27,910,653 27,143,516
Covered loans 3,032,172 3,284,061
Less: Allowance for losses on covered loans (60,431) (51,311)
Covered loans, net 2,971,741 3,232,750
Total loans, net 31,638,995 31,580,636
Federal Home Loan Bank stock, at cost 482,173 469,145
Premises and equipment, net 265,321 264,149
FDIC loss share receivable 531,787 566,479
Goodwill 2,436,131 2,436,131
Core deposit intangibles, net 23,422 32,024
Mortgage servicing rights 215,055 144,713
Bank-owned life insurance 880,435 867,250
Other real estate owned (includes $39,108 and $45,115, respectively, covered by loss sharing agreements) 123,586 74,415
Other assets 327,528 369,372
Total assets 44,185,838 44,145,100
Deposits:    
NOW and money market accounts 9,437,891 8,783,795
Savings accounts 5,423,628 4,213,972
Certificates of deposit 7,906,158 9,120,914
Non-interest-bearing accounts 2,520,185 2,758,840
Total deposits 25,287,862 24,877,521
Wholesale borrowings:    
Federal Home Loan Bank advances 9,104,698 8,842,974
Repurchase agreements 3,425,000 4,125,000
Fed funds purchased 100,000 100,000
Total wholesale borrowings 12,629,698 13,067,974
Other borrowings 362,319 362,217
Total borrowed funds 12,992,017 13,430,191
Other liabilities 217,498 181,124
Total liabilities 38,497,377 38,488,836
Stockholders' equity:    
Preferred stock at par $0.01 (5,000,000 shares authorized; none issued)      
Common stock at par $0.01 (600,000,000 shares authorized; 440,867,068 and 439,133,951 shares issued, and 440,858,405 and 439,050,966 shares outstanding, respectively) 4,409 4,391
Paid-in capital in excess of par 5,333,295 5,327,111
Retained earnings 408,680 387,534
Treasury stock, at cost (8,663 and 82,985 shares, respectively) (118) (1,067)
Accumulated other comprehensive loss, net of tax:    
Net unrealized gain on securities available for sale, net of tax 6,001 12,614
Net unrealized loss on the non-credit portion of other-than-temporary impairment ("OTTI") losses on securities, net of tax (5,984) (13,525)
Net unrealized loss on pension and post-retirement obligations, net of tax (57,822) (60,794)
Total accumulated other comprehensive loss, net of tax (57,805) (61,705)
Total stockholders' equity 5,688,461 5,656,264
Total liabilities and stockholders' equity $ 44,185,838 $ 44,145,100
[1] At June 30, 2013, the non-credit portion of OTTI recorded in accumulated other comprehensive loss ("AOCL") was $570,000 (before taxes).
[2] At December 31, 2012, the non-credit portion of OTTI recorded in AOCL was $570,000 (before taxes).
[3] Held-to-maturity securities are reported at a carrying amount equal to amortized cost less the non-credit portion of OTTI recorded in AOCL. At June 30, 2013, the non-credit portion of OTTI recorded in AOCL was $9.2 million (before taxes).
[4] At December 31, 2012, the non-credit portion of OTTI recorded in AOCL was $21.6 million (before taxes).