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Common Stock Value 295.11290.44300.90299.58305.04304.06306.67305.35308.00312.54311.72310.60309.77309.03308.34307.37305.49304.03303.34302.36304.82304.38310.14NA317.90NANANANANANANANANANANANANANANA

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Net Income Loss 20.0321.808.7010.6713.3212.6011.7111.8211.5710.129.4510.887.988.347.347.628.097.847.438.556.487.346.566.656.295.951.513.585.163.454.024.403.052.623.992.8830.323.022.72-4.95

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Assets 5353.224872.624314.383657.393632.913710.383576.143551.753363.913300.113288.523293.903286.703254.663143.343018.923082.573063.962999.942926.062903.562881.382875.942877.182893.382863.102879.281413.521426.971422.001343.751385.361422.931388.361385.241401.601433.231477.981537.871632.42
Liabilities 4831.084431.213889.163239.003216.353303.183176.023168.032988.662920.642913.602925.562920.832892.112785.842670.872741.762714.492655.362587.502569.752552.562546.972544.402565.242542.112563.141255.831273.641272.171192.811235.661276.341243.811235.581234.511268.231341.251406.961506.48
Liabilities And Stockholders Equity 5353.224872.624314.383657.393632.913710.383576.143551.753363.913300.113288.523293.903286.703254.663143.343018.923082.573063.962999.942926.062903.562881.382875.942877.182893.382863.102879.281413.521426.971422.001343.751385.361422.931388.361385.241401.601433.231477.981537.871632.42
Stockholders Equity 522.14441.41425.22418.39416.56407.20400.12383.73375.25379.46374.92368.34365.87362.55357.50348.05340.81349.47344.58338.55333.80328.82328.97332.79328.14320.99316.14157.69153.32149.83150.94149.69146.59144.56149.66167.08165.00136.73130.92125.94

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Available For Sale Securities Debt Securities 617.09602.94307.66312.15334.65345.53347.92337.88337.37326.53331.14336.99335.74NANANANANANANANANANANANANANANANANANANANANANANANANANANA

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Property Plant And Equipment Gross 94.7290.3494.5993.3292.6090.6487.0284.4181.7080.5778.9077.5576.6275.9975.9675.2274.1773.2372.9372.6272.9072.8872.5472.2771.9670.9070.8746.3046.0145.9345.8245.8045.9846.4346.16NA46.04NANANA
Accumulated Depreciation Depletion And Amortization Property Plant And Equipment 43.7938.8635.4334.1735.2736.0635.2034.3033.3832.4731.8031.2530.5930.3829.9629.3728.7128.0227.3726.6626.0425.3724.6423.9023.1522.3321.8721.4321.1120.7720.4420.1320.0620.3319.99NA19.23NANANA
Property Plant And Equipment Net 50.9351.4859.1659.1457.3354.5951.8250.1148.3248.1047.1046.3046.0345.6146.0045.8545.4645.2145.5645.9646.8647.5147.9048.3748.8148.5749.0024.8724.9025.1625.3825.6625.9226.1026.1626.4726.8026.8627.1427.87
Goodwill 49.4749.4749.4749.4749.4749.4749.4749.4749.4749.4749.4749.4749.4749.4749.4749.4749.4749.4749.4749.4749.4749.4749.4749.4749.4750.8750.87NA0.00NANANANANANANANANANANA
Available For Sale Debt Securities Amortized Cost Basis 681.00685.65299.96306.08329.98340.14344.34343.86347.80343.43344.92350.33341.95332.76323.55339.96336.56322.52319.04339.69344.80365.46372.96410.49432.59457.46471.33NANANANANANANANANANANANANA

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Time Deposit Maturities Year One 657.31188.89NANA360.39NANANA204.25NANANA283.84NANANA358.26NANANA305.12NANANA368.16NANANA213.45NANANA246.63NANANA369.36NANANA
Deposits 3900.923712.813262.282645.422690.382767.092619.212610.972463.712508.812529.812540.052522.362489.042370.722278.022374.992329.442279.722265.122275.382254.132278.792279.522276.912271.712303.261108.251118.911121.511061.321092.791135.201107.571105.631093.431112.081185.331247.931273.83

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Stockholders Equity 522.14441.41425.22418.39416.56407.20400.12383.73375.25379.46374.92368.34365.87362.55357.50348.05340.81349.47344.58338.55333.80328.82328.97332.79328.14320.99316.14157.69153.32149.83150.94149.69146.59144.56149.66167.08165.00136.73130.92125.94
Common Stock Value 295.11290.44300.90299.58305.04304.06306.67305.35308.00312.54311.72310.60309.77309.03308.34307.37305.49304.03303.34302.36304.82304.38310.14NA317.90NANANANANANANANANANANANANANANA
Retained Earnings Accumulated Deficit 277.53216.31118.24114.01107.8398.8890.6283.1175.4880.2874.0868.2461.0055.2650.0145.6040.9043.6638.5533.7027.7223.6718.7714.4910.225.950.67-0.52-4.10-9.26-12.72-16.73-21.13-24.18-26.80-30.09-32.64-62.63-65.31-68.78
Accumulated Other Comprehensive Income Loss Net Of Tax -50.49-65.346.084.793.694.262.83-4.72-8.24-13.35-10.88-10.50-4.90-1.75-0.86-4.92-5.581.792.692.501.260.770.071.760.02-2.33-2.99-3.87-5.57-4.53-0.891.071.652.012.442.773.335.122.090.82
Adjustments To Additional Paid In Capital Sharebased Compensation Requisite Service Period Recognition Value 0.880.980.740.620.730.710.740.740.650.630.540.600.550.500.460.480.560.90-0.330.330.160.170.150.210.350.010.230.120.120.120.120.120.040.010.010.00-0.010.020.02-0.10

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Net Income Loss 20.0321.808.7010.6713.3212.6011.7111.8211.5710.129.4510.887.988.347.347.628.097.847.438.556.487.346.566.656.295.951.513.585.163.454.024.403.052.623.992.8830.323.022.72-4.95

Plots across concepts


Balance Sheet
Goodwill
Assets
Goodwill
NonCurrent Assets
Goodwill
PropertyPlantAndEquipmentNet
Accumulated Depreciation Depletion And Amortization Property Plant And Equipment
Liabilities
Liabilities
Stockholders Equity
Accumulated Other Comprehensive Income Loss Net Of Tax
LesseeOperatingLeaseLiabilityPaymentsDue
Lessee Operating Lease Liability Payments Due Year Four
BanksAndOrInsurance
Securities Sold Under Agreements To Repurchase
AssetsBanks
Financing Receivable Allowance For Credit Losses
LiabilitiesBanks
Deposits

Line plots across dimensions of each concept