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Common Stock Value 318.98318.95318.97293.33292.65292.59292.60291.92292.90292.88292.89292.96165.84165.81165.73165.68165.37165.33165.09165.11169.62170.03172.23173.98175.14152.35152.35152.17152.04135.52135.52135.44135.16134.99135.00114.35114.30114.52115.20116.98116.85113.98105.85100.0899.86100.69100.88101.37101.18101.4094.6994.6794.6594.7594.7594.7387.1887.1787.1787.1687.18
Weighted Average Number Of Diluted Shares Outstanding NA317.33316.46292.21NA291.72291.27292.76NA292.48291.88227.00NA165.94165.93165.71165.63165.42165.30168.40170.19171.55173.68175.37167.99152.78152.57152.37146.88135.80135.70135.43135.38135.01127.97114.56114.72115.15116.22119.08116.59111.95104.36100.33100.72101.13101.35101.55101.5596.1294.8794.8394.8794.7894.7094.6787.0086.9386.9186.80NA
Weighted Average Number Of Shares Outstanding Basic NA315.62315.58290.98NA290.65290.56291.09NA290.96290.86227.00NA165.26165.18165.00164.80164.77164.73167.75169.24170.75172.99174.73167.04151.93151.88151.72146.07135.12135.09134.91134.67134.49127.51114.00114.10114.59115.73118.54115.92111.43103.9099.80100.15100.64100.98101.08101.0795.6994.5194.4494.4694.4994.4894.4386.8086.8086.7986.75NA
Earnings Per Share Basic 0.480.440.370.400.450.490.520.490.700.470.38-0.130.340.430.380.530.450.470.320.130.290.410.370.320.280.340.290.32-0.130.300.280.270.250.250.310.240.280.330.220.180.250.260.180.270.240.240.280.240.230.200.290.230.230.180.180.170.070.130.120.12NA
Earnings Per Share Diluted 0.470.440.370.400.440.490.520.490.700.470.38-0.130.340.430.380.520.440.470.320.130.290.410.360.320.280.340.290.31-0.130.290.280.270.250.250.310.240.270.330.220.180.250.260.180.260.250.230.280.240.230.200.290.230.230.180.180.170.070.130.120.12NA

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Interest And Fee Income Loans And Leases 545.03561.43545.62487.36480.73474.39449.90410.38377.28331.27285.25184.01119.45124.49123.58122.53138.25124.26124.74128.73137.08145.42148.25138.97139.83125.47124.61118.39107.1497.69NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Marketing And Advertising Expense 12.6511.0411.2810.6310.819.459.839.428.5110.369.124.284.723.272.632.063.242.142.403.103.634.114.443.724.783.413.963.703.802.653.673.053.503.535.112.491.772.733.682.242.592.382.432.191.872.201.931.212.981.541.501.441.801.291.581.321.451.531.391.36NA
Interest Income Expense Net 394.18391.72388.42356.46364.41375.09382.17381.49391.09376.59337.47222.78146.78151.57149.93148.12161.08145.57145.67143.77148.90153.10155.23147.05146.22130.84131.96128.57118.56108.48104.33105.80109.92107.8099.3485.6485.9297.1092.1090.9990.04108.3784.4883.4881.1978.0079.1979.0584.3674.1575.9774.2776.5972.5962.3261.3753.9854.1755.1555.12NA
Interest Paid Net 268.68285.42270.59241.93215.18197.40148.62104.9255.9631.3013.0517.858.2911.549.0713.3011.0116.7615.8926.3926.4934.8032.6433.7825.9325.4519.6520.7713.4816.6711.8914.6410.3013.578.5611.27NA10.096.019.37NA5.385.114.93NA6.676.647.31NA9.669.9910.61NA14.8117.2812.72NA17.7023.7520.74NA
Income Tax Expense Benefit 32.2341.2835.2532.4936.1944.3047.3941.4261.3138.8924.96-8.7112.0517.6813.9617.634.2912.159.762.9411.4313.2514.3613.103.225.334.344.9640.4111.4610.5810.4914.7110.9730.819.6711.6016.398.969.2210.3011.107.669.2410.606.8713.7310.3911.025.8610.898.348.818.045.934.520.081.751.731.70NA
Income Taxes Paid Net 45.6716.1036.382.4331.8270.8186.491.1851.3514.94-1.651.4716.4011.952.131.408.6013.840.791.212.541.751.050.15-4.192.50-0.64-0.181.37-0.04NANA-2.2617.106.802.006.045.003.83-0.054.394.906.503.000.020.507.204.083.2314.603.772.60-0.010.004.610.004.780.052.30-5.12NA
Other Comprehensive Income Loss Cash Flow Hedge Gain Loss After Reclassification And Tax -13.7821.20-1.70-10.5921.17-7.89-13.9741.425.49-27.16-2.74-7.67-1.38-1.31-2.282.94-0.59-1.18-1.455.56-0.91-0.070.71NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Net Income Loss 153.87143.80121.23120.28132.48147.88155.04146.60200.74140.15114.98-27.5956.1971.7562.7986.8274.1277.9451.7022.6449.1969.7862.9656.2847.5051.3544.0047.98-18.4939.3738.8535.9933.4634.7139.1226.9831.9837.6726.1620.9129.2529.1318.7726.5124.5523.9528.4823.9523.0119.7427.2121.7222.2116.8017.0216.435.7311.9010.5210.07NA
Comprehensive Income Net Of Tax 11.59331.45109.4579.47362.49-12.3154.76224.66222.76-99.16-115.95-363.41-3.0066.2933.1430.9672.6178.1962.59104.5946.8886.26102.38103.8582.4838.1238.8247.53-34.5736.3056.3046.80-7.0939.5045.0932.1931.5741.3512.3428.2228.3131.8623.3633.0525.014.04-17.3614.9618.5331.6830.8225.4512.6524.9729.9521.17NANANANANA
Preferred Stock Dividends Income Statement Impact 4.034.034.034.034.034.034.034.034.034.034.032.02NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Net Income Loss Available To Common Stockholders Basic 149.84139.77117.20116.25128.45143.84151.00142.57196.70136.12110.95-29.6056.1971.7562.7986.8274.1277.9451.70NANANANANANANANANANANANANANANANANANANANANANANANANANANANA23.95NA19.7427.2121.7222.2116.8017.0216.435.7311.9010.52NANA
Interest Income Expense After Provision For Loan Loss 367.16363.23352.21337.57352.81356.02367.38368.05364.39365.30328.23125.22148.69156.19154.86165.48162.18145.57123.13126.82147.63151.66154.23146.00142.84130.09129.52128.19117.52108.17102.98105.45111.67106.5098.0285.5585.4496.9489.8390.9989.17105.7884.8883.4478.9379.7282.8878.2082.1873.7575.5872.2275.5672.6759.1158.0546.8847.7747.1545.84NA
Noninterest Expense 276.82272.28283.00262.32284.24244.78246.58250.71267.38266.65277.39226.76131.94121.27129.62117.74142.32120.23120.12158.74134.74122.58128.12123.04150.27119.38130.46117.64140.43103.70102.81101.89126.26108.06121.4798.36102.47102.62109.69116.16100.1299.9798.1088.2588.2396.6686.9290.1899.4289.0286.0391.2993.6895.1679.7679.9283.2776.1077.8777.06NA
Noninterest Income 95.7794.1487.2777.52100.0980.9481.6370.68165.0480.3989.1265.2451.4854.5251.5156.7158.5564.7658.4657.5047.7353.9651.2146.4258.1545.9649.2942.3944.8346.3749.2742.9262.7547.2493.3949.4560.6159.7454.9855.3050.4934.4239.6540.5644.4447.7646.2446.3151.2740.8748.5449.1349.1547.3343.5942.8242.2041.9842.9742.99NA

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Assets 53552.2753602.2953119.6449534.9249089.8449059.4548496.7547842.6446763.3746215.5345748.3645834.6524453.5624018.7323675.6723744.4522960.6222460.4822102.1920741.1420411.6720438.7920145.2820084.4219728.4417567.7617482.9917496.2917518.2915065.8014957.2814869.6514860.2414703.0714420.2611932.3311991.5311915.1612075.8211951.3111647.5511179.7510387.939544.789581.749652.089641.079673.699543.629383.048689.568581.068609.688932.708018.858085.317263.897506.117701.067818.258005.34
Liabilities 47211.9247235.0047044.5743939.5143526.9443819.9143204.6642565.2241634.7841272.1440669.5740602.5321441.5520982.8420684.5520765.0019987.9719539.3319237.9317917.7117559.2117606.2617342.1517332.5517038.8715347.0815282.7715317.1715363.9013158.9813070.6913023.2913045.8212868.6112609.1510423.6810500.3610439.1610619.1010468.0410181.799772.579110.608359.548419.108492.828474.098474.038349.068196.287615.837530.657576.137905.017010.577101.306385.096610.436826.336962.737161.51
Liabilities And Stockholders Equity 53552.2753602.2953119.6449534.9249089.8449059.4548496.7547842.6446763.3746215.5345748.3645834.6524453.5624018.7323675.6723744.4522960.6222460.4822102.1920741.1420411.6720438.7920145.2820084.4219728.4417567.7617482.9917496.2917518.2915065.8014957.2814869.6514860.2414703.0714420.2611932.3311991.5311915.1612075.8211951.3111647.5511179.7510387.939544.789581.749652.089641.079673.699543.629383.048689.568581.068609.688932.708018.858085.317263.897506.117701.067818.258005.34
Stockholders Equity 6340.356367.306075.075595.415562.905239.545292.105277.435128.604943.385078.785232.113012.023035.892991.122979.452972.662921.152864.262823.432852.452832.532803.142751.872689.572220.682200.222179.122154.401906.821886.591846.361814.421834.461811.121508.641491.171476.001456.721483.271465.76NANANA1162.64NANANA1194.57NANANANANANANANANANANANA

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Cash And Cash Equivalents At Carrying Value 1227.971191.571233.05939.501175.061663.431197.891113.93728.41801.61797.961976.55822.02797.46491.13457.78589.71330.75310.49343.18276.34420.25300.99323.12317.17286.76273.87278.24290.43252.37262.74217.03255.52261.04267.92175.56219.82173.41195.21215.31239.96231.45236.69214.52206.72247.41216.82153.90264.06217.53263.05160.44222.87269.23335.62412.98251.55172.27426.62380.16497.28
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 1227.971191.571233.05939.501175.061663.431197.891113.93728.41801.61797.961976.55822.02797.46491.13457.78589.71330.75310.49343.18276.34420.25300.99323.12317.17286.76NANA290.43NANANA255.52NANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Equity Securities Fv Ni 92.0089.2585.5284.9580.3769.8871.9572.1652.5151.8555.8867.5613.2112.432.462.432.552.5240.256.876.846.566.236.245.585.835.605.575.58NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA

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Amortization Of Intangible Assets 7.247.417.425.465.876.046.066.196.797.097.174.812.572.782.913.083.243.463.613.783.954.174.334.474.133.283.423.613.402.642.783.023.243.233.372.652.822.872.983.082.762.522.001.841.941.861.842.522.051.961.912.022.962.111.841.921.501.501.501.62NA
Goodwill 2175.252177.002170.711998.721998.721998.721998.721998.721998.722002.601991.531997.161036.991036.991036.991036.991036.991036.991036.991036.991036.991036.991036.261036.261036.26828.80828.80828.80828.05655.02655.02655.02655.02655.21655.52584.63584.63584.63588.46587.90530.85491.41408.47352.73352.73352.73339.38338.82338.82339.88253.18253.18253.18265.99236.31236.31167.88167.88167.88167.88167.88
Finite Lived Intangible Assets Net 120.85128.09135.5096.80102.25108.12114.16120.22126.41133.19140.28147.4534.6837.2540.0342.9446.0149.2652.7256.3360.1064.0568.2272.5477.0242.1345.4248.8353.1029.2331.8834.6637.6840.9244.2432.4435.3138.1241.0043.7438.6939.0430.8024.1225.9626.6024.9926.7029.2231.2730.2031.6033.6236.3034.11NA26.18NANANANA
Equity Securities Fv Ni 92.0089.2585.5284.9580.3769.8871.9572.1652.5151.8555.8867.5613.2112.432.462.432.552.5240.256.876.846.566.236.245.585.835.605.575.58NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Held To Maturity Securities Accumulated Unrecognized Holding Loss 484.06366.97474.42454.64414.11634.29452.38408.56445.69496.13305.13126.69NANANANANANANANANANANA0.236.4812.388.397.360.01NANA0.130.560.00NANA0.000.060.580.000.08NANANA1.58NANANANANANANANANANANANANANANANA
Held To Maturity Securities Fair Value 2471.142604.052512.502547.582601.192393.622603.062663.372643.682600.442779.291955.600.00NANANANANANANA0.00425.59486.73493.88506.10505.57524.60536.14727.70740.56749.36784.91784.17922.31939.86932.59929.42902.18867.35899.65903.93901.72899.01812.91780.76778.55419.33423.32433.20440.01493.70496.36507.70517.43574.17599.94625.64770.69596.61458.07399.95
Held To Maturity Securities Accumulated Unrecognized Holding Gain 0.321.680.470.861.80NA0.440.740.22NA0.240.04NANANANANANANANANA18.3115.869.286.255.747.278.3543.6551.6154.2243.5939.6471.5173.9063.5857.3151.1844.6763.6259.96NANANA19.60NANANANANANANANANANANANANANANANA
Held To Maturity Securities Accumulated Unrecognized Holding Loss 484.06366.97474.42454.64414.11634.29452.38408.56445.69496.13305.13126.69NANANANANANANANANANANA0.236.4812.388.397.360.01NANA0.130.560.00NANA0.000.060.580.000.08NANANA1.58NANANANANANANANANANANANANANANANA
Held To Maturity Securities Continuous Unrealized Loss Position Fair Value 2439.372534.102469.262497.712530.272393.772570.872608.792613.582596.732751.331944.44NANANANANANANANANANANA93.19290.46298.88312.37319.572.310.470.4730.1559.481.81NANA2.0315.3765.272.136.1716.6773.0438.9791.5350.3028.60NANA0.051.693.6714.8113.32244.41NA383.28NANANANA
Debt Securities Held To Maturity Excluding Accrued Interest After Allowance For Credit Loss 2954.882969.342986.453001.353013.493027.913055.003071.193089.153096.57NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Held To Maturity Securities Debt Maturities After One Through Five Years Fair Value 23.81139.14134.42132.06134.33127.72135.76141.1165.4866.8868.863.96NANANANANANANANANANANANANANANANANANANANANANANANANANANANA26.58NANANA15.76NANANA2.43NANANA4.86NANANA119.72NANANANA
Held To Maturity Securities Debt Maturities Within One Year Fair Value NA0.150.150.15NANANANANANA0.100.25NANANANANANANANANANANANANANANANANANANANANANANANANANANANA1.51NANANA0.07NANANA3.07NANANA4.07NANANA0.06NANANANA
Held To Maturity Securities Continuous Unrealized Loss Position Twelve Months Or Longer Fair Value 2402.362533.432443.262477.752530.272329.332206.682231.701052.75828.65642.54221.57NANANANANANANANANANANA93.19261.59234.01240.65243.080.000.000.000.000.000.00NANA0.000.000.000.000.00NA11.610.000.00NANANANA0.050.050.0513.1813.320.14NA0.38NANANANA
Held To Maturity Securities Continuous Unrealized Loss Position Less Than Twelve Months Fair Value 37.010.6726.0019.95NA64.44364.20377.091560.831768.082108.781722.86NANANANANANANANANANANANA28.8764.8671.7276.492.310.470.4730.1559.481.81NANA2.0315.3765.272.136.1716.6761.4238.9791.5350.3028.60NANA0.001.643.621.640.00244.27NA382.90NANANANA
Held To Maturity Securities Debt Maturities After Five Through Ten Years Fair Value 1149.511115.471015.361006.751040.92797.28780.44838.841079.53867.48934.95499.83NANANANANANANANANANANANANANANANANANANANANANANANANANANANA189.95NANANA169.34NANANA153.88NANANA158.37NANANA11.79NANANANA
Held To Maturity Securities Debt Maturities After Ten Years Fair Value 1297.821349.301362.581408.621425.931468.621686.861683.421498.671666.091775.381451.54NANANANANANANANANANANANANANANANANANANANANANANANANANANANA685.89NANANA595.58NANANA273.83NANANA340.40NANANA494.08NANANANA

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Time Deposit Maturities Year One 6393.30NANANA5081.01NANANA2099.16NANANA663.23NANANA825.82NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Deposits 40823.5640845.7539999.2337699.4237235.1837252.6836231.3234917.7935000.8336053.6635538.9735607.3918569.1918196.1517868.9117849.7617037.4516506.4916319.4514305.3614553.4014448.3514363.1014429.2714349.9512598.2012596.3812788.6012605.7610606.7810683.7110821.3510743.2510646.7110451.608588.908400.868621.338809.578927.528490.668207.307555.007258.167210.907208.416840.097066.327278.957221.386670.276667.786611.566867.266015.096059.935462.935439.445646.975691.495903.49

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Stockholders Equity 6340.356367.306075.075595.415562.905239.545292.105277.435128.604943.385078.785232.113012.023035.892991.122979.452972.662921.152864.262823.432852.452832.532803.142751.872689.572220.682200.222179.122154.401906.821886.591846.361814.421834.461811.121508.641491.171476.001456.721483.271465.76NANANA1162.64NANANA1194.57NANANANANANANANANANANANA
Common Stock Value 318.98318.95318.97293.33292.65292.59292.60291.92292.90292.88292.89292.96165.84165.81165.73165.68165.37165.33165.09165.11169.62170.03172.23173.98175.14152.35152.35152.17152.04135.52135.52135.44135.16134.99135.00114.35114.30114.52115.20116.98116.85113.98105.85100.0899.86100.69100.88101.37101.18101.4094.6994.6794.6594.7594.7594.7387.1887.1787.1787.1687.18
Additional Paid In Capital Common Stock 4570.864560.584550.974157.544159.924153.984149.094144.734174.274166.584157.544149.591880.551878.111876.371874.571875.631873.481871.741870.261944.441948.811981.202007.962031.691645.111642.791640.781639.501354.041352.411350.871348.341343.741342.391088.041087.911090.381098.381121.591118.291077.94975.35NANANANANANANANANANANANANANANANANANA
Retained Earnings Accumulated Deficit 1966.051861.021766.051693.661618.631531.291428.541318.631217.351061.87966.98897.26968.01935.16886.75847.29783.89733.05678.38649.91682.18655.18607.67567.31527.68503.15471.78447.70413.13451.46429.79408.62390.29374.56357.34335.84323.76305.48281.20268.94262.18245.87229.47222.42206.99192.53178.73160.42146.67132.82121.67103.0389.8674.3164.1853.8244.0244.4038.6234.2030.23
Accumulated Other Comprehensive Income Loss Net Of Tax -746.04-603.76-791.41-779.63-738.81-968.82-808.63-708.36-786.42-808.45-569.13-338.20-2.3856.8162.2691.91147.77149.28149.04138.1656.2158.5142.042.62-44.95-79.93-66.70-61.53-50.27-34.20-31.12-48.56-59.37-18.83-23.62-29.59-34.80-34.38-38.06-24.24-31.55-30.62-33.34-37.93-44.47-44.93-25.0220.8229.8034.2822.3418.7315.0024.5716.403.47-1.2715.821.16-12.78-20.37
Stock Issued During Period Value New Issues NA0.250.270.27NA0.260.270.26NA0.230.160.17NA0.150.140.14NA0.140.140.15NA0.140.150.130.130.150.120.100.100.120.100.090.090.090.100.100.100.100.100.100.090.080.080.080.080.070.070.070.070.060.060.060.060.060.060.060.060.06NANANA
Adjustments To Additional Paid In Capital Sharebased Compensation Requisite Service Period Recognition Value NA8.709.065.49NA4.915.2512.74NA7.497.816.28NA1.961.821.75NA1.731.482.75NA2.201.951.802.492.021.681.931.591.501.851.332.251.682.121.270.741.281.031.201.460.191.481.030.801.021.111.021.110.860.840.500.891.010.760.78NANANANANA

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Net Cash Provided By Used In Operating Activities 235.75121.32160.98104.2372.83228.80161.0353.69127.11248.48277.77161.0665.7199.5081.9883.20134.72121.67-15.44-21.1397.0661.9030.8743.9253.9075.7053.4151.4061.5562.62NANANANANANANANANANANANANA55.5445.3648.6741.7329.6556.30-66.99111.4413.5431.56-1.0856.2857.0011.972.1746.2936.08NA
Net Cash Provided By Used In Investing Activities -117.32-298.00-190.50-766.14-257.27-270.46-651.06-640.09-806.98-599.95-1386.161107.58-431.42-73.79-24.75-901.63-312.57-371.50-1405.30-52.08-231.87-77.27-10.01-206.25-156.15-93.53-5.65-16.09-274.14-129.72NANANANANANANANANANANANANA19.57-60.78553.3128.21-419.79-139.44157.7620.84-50.86147.61697.38-12.91173.23273.04-52.97177.8938.60NA
Net Cash Provided By Used In Financing Activities -82.03135.21323.07426.35-303.93507.21573.98971.92606.67355.11-70.20-114.11390.27280.62-23.88686.50436.81270.091388.05140.06-9.10134.63-42.99168.28132.6530.71-52.13-47.50250.6556.73NANANANANANANANANANANANANA-67.30-25.27-571.39-7.02279.98129.66-136.29-29.67-25.12-225.52-762.68-120.73-68.81-205.74-203.55-177.72-191.80NA

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Net Cash Provided By Used In Operating Activities 235.75121.32160.98104.2372.83228.80161.0353.69127.11248.48277.77161.0665.7199.5081.9883.20134.72121.67-15.44-21.1397.0661.9030.8743.9253.9075.7053.4151.4061.5562.62NANANANANANANANANANANANANA55.5445.3648.6741.7329.6556.30-66.99111.4413.5431.56-1.0856.2857.0011.972.1746.2936.08NA
Net Income Loss 153.87143.80121.23120.28132.48147.88155.04146.60200.74140.15114.98-27.5956.1971.7562.7986.8274.1277.9451.7022.6449.1969.7862.9656.2847.5051.3544.0047.98-18.4939.3738.8535.9933.4634.7139.1226.9831.9837.6726.1620.9129.2529.1318.7726.5124.5523.9528.4823.9523.0119.7427.2121.7222.2116.8017.0216.435.7311.9010.5210.07NA
Share Based Compensation 9.038.709.065.495.014.915.2512.747.077.497.816.281.981.961.821.751.751.731.482.752.052.201.951.802.492.021.681.931.591.501.851.332.251.682.121.270.741.281.031.201.460.191.481.030.801.021.111.021.110.860.840.500.894.09-2.320.780.672.99-1.860.58NA

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Net Cash Provided By Used In Investing Activities -117.32-298.00-190.50-766.14-257.27-270.46-651.06-640.09-806.98-599.95-1386.161107.58-431.42-73.79-24.75-901.63-312.57-371.50-1405.30-52.08-231.87-77.27-10.01-206.25-156.15-93.53-5.65-16.09-274.14-129.72NANANANANANANANANANANANANA19.57-60.78553.3128.21-419.79-139.44157.7620.84-50.86147.61697.38-12.91173.23273.04-52.97177.8938.60NA
Payments To Acquire Property Plant And Equipment 6.765.679.378.4810.3010.666.9510.469.1611.287.879.597.926.3621.5312.884.018.1510.787.946.337.0912.3211.688.697.707.419.5919.638.214.375.09106.76105.587.394.9371.403.553.756.965.347.693.933.523.407.9010.22-2.909.344.311.593.487.301.631.840.711.250.711.364.14NA

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Net Cash Provided By Used In Financing Activities -82.03135.21323.07426.35-303.93507.21573.98971.92606.67355.11-70.20-114.11390.27280.62-23.88686.50436.81270.091388.05140.06-9.10134.63-42.99168.28132.6530.71-52.13-47.50250.6556.73NANANANANANANANANANANANANA-67.30-25.27-571.39-7.02279.98129.66-136.29-29.67-25.12-225.52-762.68-120.73-68.81-205.74-203.55-177.72-191.80NA
Payments Of Dividends Common Stock 48.6948.6948.6945.0944.9844.9744.9745.1244.9544.9444.9342.8023.2223.2123.2023.2023.1523.1523.1123.5422.0522.1422.4822.8122.7719.8119.8119.7819.7617.6217.6217.6017.5717.5717.5314.8713.7313.7513.8314.2412.9112.6311.6311.0010.0010.0610.0910.129.118.538.518.516.626.636.636.636.096.096.096.08NA
Payments For Repurchase Of Common Stock 0.140.291.287.180.040.450.1043.710.250.530.3270.080.020.410.452.860.050.010.4781.827.2037.0730.8427.300.030.030.631.110.840.070.581.270.140.361.050.494.459.6526.3948.2010.5513.690.021.5813.173.446.511.183.160.140.000.691.190.010.000.330.220.000.000.48NA

Plots across concepts


IncomeStatement
Comprehensive Income Net Of Tax
Balance Sheet
Operating Lease Right Of Use Asset
Assets
Equity Securities Fv Ni
Current Assets
Cash And Cash Equivalents At Carrying Value
NonCurrent Assets
Operating Lease Right Of Use Asset
Liabilities
Operating Lease Liability
Stockholders Equity
Accumulated Other Comprehensive Income Loss Net Of Tax
CashFlow
Net Cash Provided By Used In Investing Activities
NetCashProvidedByUsedInOperatingActivities
Share Based Compensation
NetCashProvidedByUsedInInvestingActivities
Net Cash Provided By Used In Investing Activities
NetCashProvidedByUsedInFinancingActivities
Net Cash Provided By Used In Financing Activities
Shares
Weighted Average Number Of Shares Outstanding Basic
DividendsAndRepurchase
Payments For Repurchase Of Common Stock
LesseeOperatingLeaseLiabilityPaymentsDue
Lessee Operating Lease Liability Payments Remainder Of Fiscal Year
FiniteLivedIntangibleAssets
Finite Lived Intangible Assets Accumulated Amortization
BanksAndOrInsurance
Securities Sold Under Agreements To Repurchase
AssetsBanks
Cash And Due From Banks
LiabilitiesBanks
Deposits

Line plots across dimensions of each concept