v3.26.1
CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2026
Mar. 31, 2025
Cash flows from operating activities:    
Net income $ 245,674 $ 177,502
Adjustments to reconcile net income to net cash provided by operating activities:    
Provision for credit losses 75,886 64,081
Amortization of intangibles 384 597
Depreciation and amortization of premises and equipment 13,538 12,280
Net accretion of discounts and amortization of premiums and deferred fees (57,477) (68,861)
Interest capitalized on loans subject to the temporary payment moratorium or loss mitigation alternatives (1,238) (1,357)
Share-based compensation 16,228 11,028
Fair value adjustments on mortgage servicing rights 2,640 3,570
Adjustments to indemnity reserves on loans sold (35) (173)
Earnings from investments under the equity method, net of dividends or distributions (12,968) (8,621)
Deferred income tax (benefit) expense (564) 8,109
Loss (gain) on:    
Disposition of premises and equipment and other productive assets 59 (42)
Sale of loans, including valuation adjustments on loans held-for-sale and mortgage banking activities (317) (194)
Sale of foreclosed assets, including write-downs (2,309) (1,033)
Acquisitions of loans held-for-sale (3,583) (810)
Proceeds from sale of loans held-for-sale 11,057 7,098
Net originations on loans held-for-sale (10,194) (6,741)
Net decrease (increase) in:    
Trading debt securities 17,573 6,071
Equity securities (849) 508
Accrued income receivable (7,770) 725
Other assets (2,087) 12,864
Net (decrease) increase in:    
Interest payable (7,280) (7,370)
Pension and other postretirement benefits obligation 1,306 1,079
Other liabilities (86,060) (38,252)
Total adjustments (54,060) (5,444)
Net cash provided by operating activities 191,614 172,058
Cash flows from investing activities:    
Net (increase) decrease in money market investments (29,624) 186,609
Purchases of investment securities:    
Available-for-sale (10,385,670) (9,425,086)
Equity (10,139) (9,224)
Proceeds from calls, paydowns, maturities and redemptions of investment securities:    
Available-for-sale 8,954,537 8,429,813
Held-to-maturity 409,096 152,441
Proceeds from sale of investment securities:    
Equity 23,670 13,361
Net repayments (disbursements) on loans 107,425 (118,418)
Proceeds from sale of loans 14,706 39,055
Acquisition of loan portfolios (160,670) (127,291)
Payments to acquire equity method investments (1,000) 0
Acquisition of premises and equipment and other productive assets (36,680) (51,526)
Proceeds from sale of:    
Premises and equipment and other productive assets 277 197
Foreclosed assets 17,602 23,155
Net cash used in investing activities (1,096,470) (886,914)
Net increase (decrease) in:    
Deposits 1,425,562 939,913
Assets sold under agreements to repurchase (4,424) 2,435
Other short-term borrowings (300,000) (25,000)
Payment of notes payable (25,000) (63,522)
Principal payments of finance leases (2,030) (908)
Proceeds from issuance of common stock 1,823 1,770
Dividends paid (49,949) (49,899)
Net payments for repurchase of common stock (154,742) (125,341)
Payments related to tax witholding for share-based compensation (4,648) (3,376)
Net cash provided by financing activities 886,592 676,072
Net decrease in cash and due from banks, and restricted cash (18,264) (38,784)
Cash and due from banks and restricted cash at beginning of period 412,989 429,406
Cash and due from banks and restricted cash at end of period $ 394,725 $ 390,622