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dei: Entity Common Stock Shares Outstanding NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Earnings Per Share Basic -0.86-0.25-0.51-0.34-0.30-0.71-0.400.150.320.400.450.300.470.230.270.020.310.390.670.390.410.350.400.410.340.410.380.460.330.420.420.500.530.500.360.280.270.13
Earnings Per Share Diluted -0.86-0.25-0.51-0.34-0.30-0.71-0.400.150.320.380.420.300.410.230.270.020.310.360.560.360.340.340.370.380.330.380.360.460.330.420.420.500.530.500.360.280.270.13

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Revenues -16.251.05-2.410.541.3810.528.7714.9719.4018.9919.7919.7722.5016.7416.338.0413.7215.3220.7015.1813.8914.7514.7814.7413.8014.2313.1113.6712.2911.6210.6911.4111.8810.818.766.033.982.29
Revenues Net Of Interest Expense -16.251.05-2.410.541.3810.528.7714.9719.4018.9919.7919.7722.5016.7416.338.0413.7215.3220.7015.1813.8914.7514.7814.7413.8014.2313.1113.6712.2911.6210.6911.4111.8810.818.766.033.982.29
Interest Income Operating 17.6617.8818.3418.4618.4520.0220.9023.2123.2523.0523.0524.0425.1323.9523.7027.2927.1127.7228.1329.4528.4827.4226.6925.5924.3724.5321.7220.8119.7918.7116.3815.8115.5814.4410.796.884.672.27
Gain Loss On Investments 0.00-1.22-8.81-0.990.000.00-2.14-3.97NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Other Income -7.820.180.50-2.522.720.39-3.56-3.550.770.780.490.360.310.540.680.751.021.220.831.111.120.460.691.510.720.330.540.46-1.30-0.210.330.540.410.220.230.180.060.03
Costs And Expenses 6.296.658.877.867.168.8510.029.379.728.218.408.188.017.617.396.456.367.076.866.996.626.336.566.416.216.465.744.974.253.713.803.453.323.003.132.22NANA
Interest Expense 14.4814.8415.0414.9314.4811.379.188.619.008.618.8310.3010.8411.7313.0613.0713.8814.3215.4415.6915.0413.0012.8012.4911.3810.789.297.657.586.946.064.994.313.852.271.07NANA
Interest Income Expense Net 3.173.043.303.533.978.6511.7214.6114.2514.4514.2213.7314.2912.2210.6514.2213.2313.4112.6913.7713.8014.0513.8913.1012.9813.7512.4313.1612.2111.7710.3110.8311.2810.598.525.813.902.27
Interest Paid Net 13.2114.5413.5914.8914.4410.858.057.827.377.236.488.449.799.7011.5611.2511.9813.1112.7715.4713.8412.2711.0013.6410.42NANANANANANANANANANANANANA
Gains Losses On Extinguishment Of Debt 0.00-0.020.000.05NANANANA-0.370.00-0.16-0.910.00-0.250.00-0.41-0.250.00-0.180.000.00-0.840.00NA-0.910.00-0.22NANANANANANANANANANANA
Income Loss From Continuing Operations Before Income Taxes Domestic 1.50-0.900.101.805.406.509.8011.209.109.907.708.7014.102.50-2.001.202.904.0014.302.004.306.506.606.801.902.107.207.106.003.306.903.603.801.803.60NANANA
Income Tax Expense Benefit 0.07-0.100.180.090.502.370.26-0.030.030.100.070.030.09-0.020.12-0.32-0.010.030.040.07-0.040.080.000.020.040.050.050.00-0.010.020.03-0.00-0.020.010.02NANANA
Income Taxes Paid 0.000.230.000.211.780.000.760.060.000.00NANA0.03NANANANANANANANANANANA0.00NANANA0.00NANANANANANANANANA
Profit Loss -22.61-5.52-11.46-7.36-6.28-9.50-4.785.639.2810.6811.1710.6414.408.898.821.507.128.2213.638.127.317.508.218.326.647.727.108.706.167.896.867.968.397.925.663.812.531.22
Net Income Loss -22.65-5.54-11.49-7.39-6.29-9.46-4.805.549.3111.2612.338.9512.787.238.080.406.667.6913.037.336.606.567.527.676.187.476.868.4110.977.626.617.6511.697.615.443.643.952.29
Comprehensive Income Net Of Tax -19.49-4.29-11.80-2.06-10.06-19.97-19.12-6.194.9611.0810.358.3110.819.6229.47-28.046.398.7013.747.736.226.757.477.556.127.436.878.275.967.626.61NANANANANANANA
Preferred Stock Dividends Income Statement Impact 0.550.550.550.550.551.051.931.951.951.951.951.95NANANANANANANANANANANANANANANANANANANANANANANANANANA
Net Income Loss Available To Common Stockholders Basic -23.20-6.09-12.03-7.94-6.83-16.25-9.183.597.289.2210.306.9510.765.256.210.406.627.6112.897.256.606.497.447.586.187.386.798.325.967.586.607.648.067.605.423.642.431.00
Interest Income Expense After Provision For Loan Loss -8.122.716.174.155.1210.5912.6918.5818.5418.1218.9519.2521.8916.2314.979.1112.6713.4012.6013.6112.6414.0513.8913.10NANANANANANANANANANANANANANA

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Assets 1336.291374.531405.691439.641484.431526.971584.841685.881759.681648.091676.091686.971653.731666.971639.921537.851576.841553.691531.231616.181602.871492.481359.361362.591395.741157.411146.12942.11957.40819.23729.75642.68615.38565.60501.84326.34272.76NA
Liabilities 1025.401052.181088.851107.091146.961175.481149.041198.381259.211144.981178.601177.441139.241160.631141.051180.571192.761195.721185.641279.511268.591160.311036.681042.941078.30861.90853.76654.97674.68538.23452.46400.48377.57332.49273.39101.19101.48NA
Liabilities And Stockholders Equity 1336.291374.531405.691439.641484.431526.971584.841685.881759.681648.091676.091686.971653.731666.971639.921537.851576.841553.691531.231616.181602.871492.481359.361362.591395.741157.411146.12942.11957.40819.23729.75642.68615.38565.60501.84326.34272.76NA
Stockholders Equity 308.93320.24314.71330.42335.33349.32433.52485.13497.30499.82493.25487.11485.36478.88472.99332.06359.88334.07322.12302.60300.83299.13297.10293.97290.36284.82281.73276.58272.29270.62267.02232.03227.80223.28218.79215.60161.81NA

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Cash And Cash Equivalents At Carrying Value 52.8363.9140.3249.4047.8472.9051.5770.7284.4392.8488.13137.58107.15135.19163.4231.1864.3457.9155.7341.5455.1559.7634.7147.4653.7243.0942.0429.8435.7223.3268.3623.8930.8328.5136.2427.1053.1023.85
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 52.8363.9140.3249.4047.8472.9056.2975.7387.5395.3888.32137.76107.33135.38163.6131.2064.3657.9355.7541.5655.17105.2834.7347.4854.0244.1642.0730.5536.9123.3568.74NA30.83NANANA53.10NA

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Held To Maturity Securities Accumulated Unrecognized Holding Loss 0.631.360.980.41NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Held To Maturity Securities Fair Value 59.1759.8770.9574.07NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Held To Maturity Securities 59.6961.1971.7173.91NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Held To Maturity Securities Accumulated Unrecognized Holding Gain 0.110.040.230.57NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Held To Maturity Securities Accumulated Unrecognized Holding Loss 0.631.360.980.41NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA

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Minority Interest 1.962.122.132.132.142.172.272.373.183.284.2422.4329.1327.4725.8825.2124.2023.8923.4734.0733.4533.0425.5825.6727.0810.6910.6310.5610.4310.3810.2710.1710.019.839.669.559.47NA

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Stockholders Equity 308.93320.24314.71330.42335.33349.32433.52485.13497.30499.82493.25487.11485.36478.88472.99332.06359.88334.07322.12302.60300.83299.13297.10293.97290.36284.82281.73276.58272.29270.62267.02232.03227.80223.28218.79215.60161.81NA
Stockholders Equity Including Portion Attributable To Noncontrolling Interest 310.89322.35316.84332.56337.46351.50435.79487.50500.47503.11497.49509.54514.49506.35498.87357.27384.08357.96345.59336.68334.28332.17322.68319.64317.44295.51292.36287.14282.72281.01277.30242.20237.81233.11228.45225.15171.28127.94
Additional Paid In Capital Common Stock 352.06340.86326.28325.46322.44317.27316.76316.33316.16315.61315.13314.71317.42317.30317.03316.76309.39283.07273.44261.53260.43258.85257.84256.51254.85249.94248.80245.44244.88244.64244.18211.98211.73211.59211.36210.86158.95NA
Retained Earnings Accumulated Deficit -54.38-28.16-17.28-0.5413.2826.3848.8064.0066.4366.9662.5056.5053.3546.4445.0842.7549.4549.6548.3041.3741.0640.5239.6237.6235.5634.8832.8831.1027.2325.8022.6719.9015.9211.537.284.592.74NA
Accumulated Other Comprehensive Income Loss Net Of Tax -14.03-17.73-19.53-19.76-25.65-22.42-18.70-8.761.023.421.651.680.380.40-3.94-27.171.281.540.53-0.18-0.57-0.20-0.40-0.34-0.23NANANA0.00NANANANANANANANANA
Treasury Stock Value 9.569.569.569.539.536.706.581.811.691.541.411.161.160.630.560.510.460.400.350.310.270.230.15NA0.00NANANANANANANANANANANANANA
Minority Interest 1.962.122.132.132.142.172.272.373.183.284.2422.4329.1327.4725.8825.2124.2023.8923.4734.0733.4533.0425.5825.6727.0810.6910.6310.5610.4310.3810.2710.1710.019.839.669.559.47NA

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Net Cash Provided By Used In Operating Activities -12.81-10.02-6.83-16.80-2.90-0.0613.26-9.16-0.117.71-13.55-9.37-7.834.1820.18-30.41-4.27-1.03-5.09-5.042.80-0.490.67-2.78-5.854.67-5.95-1.57NANANANANANANANANANA
Net Cash Provided By Used In Investing Activities 24.5660.0024.7563.5112.4180.8360.8269.02-105.0543.93-11.9422.8610.02-42.8445.9711.02-7.78-4.58118.12-5.59-153.26-77.711.0139.56-212.39-2.40-177.7919.97NANANANANANANANANANA
Net Cash Provided By Used In Financing Activities -22.83-26.39-27.00-45.15-34.57-61.06-93.52-71.6697.31-44.58-23.9616.94-30.2310.4366.27-13.7718.497.78-98.85-2.97100.35122.01-14.43-43.32228.10-0.18195.25-24.76NANANANANANANANANANA

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Net Cash Provided By Used In Operating Activities -12.81-10.02-6.83-16.80-2.90-0.0613.26-9.16-0.117.71-13.55-9.37-7.834.1820.18-30.41-4.27-1.03-5.09-5.042.80-0.490.67-2.78-5.854.67-5.95-1.57NANANANANANANANANANA
Net Income Loss -22.65-5.54-11.49-7.39-6.29-9.46-4.805.549.3111.2612.338.9512.787.238.080.406.667.6913.037.336.606.567.527.676.187.476.868.4110.977.626.617.6511.697.615.443.643.952.29
Profit Loss -22.61-5.52-11.46-7.36-6.28-9.50-4.785.639.2810.6811.1710.6414.408.898.821.507.128.2213.638.127.317.508.218.326.647.727.108.706.167.896.867.968.397.925.663.812.531.22
Share Based Compensation 0.000.000.000.090.090.090.090.090.050.050.050.050.040.040.040.040.101.030.860.770.390.810.810.800.790.720.620.360.330.330.260.250.250.240.470.40NA0.24
Amortization Of Financing Costs 0.560.610.700.840.870.860.941.041.391.491.671.611.251.331.271.321.711.351.381.281.312.181.541.352.251.511.511.202.211.731.731.160.850.560.370.07NANA

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Net Cash Provided By Used In Investing Activities 24.5660.0024.7563.5112.4180.8360.8269.02-105.0543.93-11.9422.8610.02-42.8445.9711.02-7.78-4.58118.12-5.59-153.26-77.711.0139.56-212.39-2.40-177.7919.97NANANANANANANANANANA

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Net Cash Provided By Used In Financing Activities -22.83-26.39-27.00-45.15-34.57-61.06-93.52-71.6697.31-44.58-23.9616.94-30.2310.4366.27-13.7718.497.78-98.85-2.97100.35122.01-14.43-43.32228.10-0.18195.25-24.76NANANANANANANANANANA

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Revenues -16.251.05-2.410.541.3810.528.7714.9719.4018.9919.7919.7722.5016.7416.338.0413.7215.3220.7015.1813.8914.7514.7814.7413.8014.2313.1113.6712.2911.6210.6911.4111.8810.818.766.033.982.29
Interest Income Operating 17.6617.8818.3418.4618.4520.0220.9023.2123.2523.0523.0524.0425.1323.9523.7027.2927.1127.7228.1329.4528.4827.4226.6925.5924.3724.5321.7220.8119.7918.7116.3815.8115.5814.4410.796.884.672.27
Revenues Net Of Interest Expense -16.251.05-2.410.541.3810.528.7714.9719.4018.9919.7919.7722.5016.7416.338.0413.7215.3220.7015.1813.8914.7514.7814.7413.8014.2313.1113.6712.2911.6210.6911.4111.8810.818.766.033.982.29

Plots across concepts


IncomeStatement
Net Income Loss
Expenses
Income Tax Expense Benefit
Balance Sheet
Cash And Cash Equivalents At Carrying Value
Assets
Cash And Cash Equivalents At Carrying Value
Current Assets
Cash And Cash Equivalents At Carrying Value
Liabilities
Liabilities
Stockholders Equity
Retained Earnings Accumulated Deficit
CashFlow
Net Cash Provided By Used In Financing Activities
NetCashProvidedByUsedInOperatingActivities
Net Income Loss

Line plots across dimensions of each concept