v3.25.1
Condensed Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2025
Mar. 31, 2024
Cash flows from operating activities    
Net income $ 9,668 $ 27,586
Adjustments to reconcile net income to net cash provided by operating activities:    
Depreciation and amortization 6,974 4,981
Provision for credit losses 28,964 16,364
Accretion of discount on securities, net (83) (355)
Deferred tax benefit (1,009) (6,888)
Originations of loans held for sale (349,091) (203,956)
Proceeds from sales of loans held for sale 422,294 258,708
Net gains on sale of loans held for sale (18,648) (11,502)
Net loss on impairment or sale of foreclosed assets 34 0
Net loss on loans accounted for under fair value option 1,034 219
Net change in servicing assets (767) (752)
Net loss (gain) on disposal of property and equipment 24 (4)
Equity method investments loss (income) 2,239 5,022
Equity security investments losses (gains), net (20) 529
Loss (gain) on equity warrant assets 304 (5,662)
Renewable energy tax credit investment recovery 0 (927)
Restricted stock compensation expense 6,667 6,306
Stock based compensation excess tax (deficiency) benefit (156) 889
Lease right-of-use assets and liabilities, net (14) (11)
Changes in assets and liabilities:    
Other assets 4,464 301
Other liabilities (7,901) 45
Net cash provided by operating activities 104,977 90,893
Cash flows from investing activities    
Purchases of investment securities available-for-sale (76,965) (46,176)
Proceeds from maturities, calls, and principal paydowns of investment securities available-for-sale 31,842 43,493
Purchases of loans previously sold (23,607) (22,425)
Loan and lease originations and principal collections, net (524,894) (228,713)
Purchases of equity security investments (3,433) (3,279)
Purchases of equity method investments (424) (1,435)
Proceeds from sale of equity security investments 160 535
Proceeds from sale of equity method investments 129 0
Proceeds from sale of premises and equipment 222 978
Purchases of premises and equipment, net (2,294) (21,676)
Net cash used by investing activities (599,264) (278,698)
Cash flows from financing activities    
Net increase in deposits 635,451 108,342
Proceeds from borrowings 43 99,414
Repayment of borrowings (2,616) (2,526)
Stock option exercises 758 1,129
Employee stock purchase program 659 702
Tax withholding related to vesting of restricted stock and other (3,178) (3,057)
Shareholder dividend distributions (1,367) (1,345)
Net cash provided by financing activities 629,750 202,659
Net increase in cash and cash equivalents 135,463 14,854
Cash and cash equivalents, beginning 608,800 582,540
Cash and cash equivalents, ending 744,263 597,394
Supplemental disclosures of cash flow information    
Interest paid 112,098 102,644
Income tax paid, net 172 1,928
Supplemental disclosures of noncash investing and financing activities    
Unrealized holding gains (losses) on investment securities available-for-sale, net of taxes 14,646 (6,518)
Transfers from loans and leases to foreclosed real estate and other repossessions or SBA receivable 3,648 2,080
Transfer from premises and equipment, net to other assets 0 18,540
Transfer of loans held for sale to loans and leases held for investment 205,385 94,384
Transfer of loans and leases held for investment to loans held for sale 283,718 63,508
Transfer from retained earnings to other assets for pro rata portion of equity method investee stock compensation expense 98 249
Accrued premises and equipment additions 0 2,971
Equity method investment commitments $ 0 $ 1,008