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    2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-12-31 2016-09-30 2016-06-30 2016-03-31 2015-12-31 2015-09-30 2015-06-30 2015-03-31 2014-12-31 2014-09-30 2014-06-30 2014-03-31 2013-12-31 2013-09-30 2013-06-30 2013-03-31 2012-12-31 2012-09-30 2012-06-30 2012-03-31 2011-12-31 2011-09-30 2011-06-30 2011-03-31 2010-12-31 2010-09-30 2010-06-30 2010-03-31
Common Stock Value 95.2695.2693.5393.7293.7293.7290.6991.3191.2191.2092.1692.1792.1692.9492.9392.5792.5692.6692.6594.7568.4069.2669.8569.8569.8469.8469.8269.4969.4869.4969.4869.4969.4869.4869.5870.0670.0870.0870.0669.8269.7969.7866.3066.0860.4260.3557.0556.4856.0947.5147.3346.9546.9346.9346.8246.72NANANA
Weighted Average Number Of Diluted Shares Outstanding 95.2695.7793.71NA93.7292.9391.21NA91.2191.7792.16NA92.6892.9492.85NA92.6692.6694.37NA68.7469.8169.85NA69.8469.8469.77NA69.4869.4969.48NA69.480.0770.18NA70.0570.050.07NA69.7969.7366.28NA60.5060.3957.13NA0.0647.6147.41NA47.0347.0646.94NA46.7746.85NA
Weighted Average Number Of Shares Outstanding Basic 95.2695.7793.71NA93.7292.9391.21NA91.2191.7792.16NA92.6892.9492.85NA92.6692.6694.37NA68.7469.8169.85NA69.8469.8469.77NA69.4869.4969.48NA69.480.0770.17NA70.0470.040.07NA69.7569.6766.19NA60.3460.2556.99NA0.0647.4647.24NA46.8946.8646.73NA46.6446.61NA
Earnings Per Share Basic 1.341.171.181.011.200.941.371.511.491.401.331.371.391.411.441.481.401.411.390.971.191.181.181.191.181.171.070.970.980.990.990.990.990.980.981.001.011.031.051.121.101.081.010.980.920.890.870.860.830.780.770.780.780.750.720.700.690.680.67
Earnings Per Share Diluted 1.341.171.181.011.200.941.371.511.491.401.331.371.391.411.441.481.401.411.390.971.191.181.181.191.181.171.070.970.980.990.990.990.990.980.981.001.011.031.051.131.101.081.010.980.910.890.860.860.820.780.770.770.770.750.720.700.690.680.66

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Revenues 417.90412.95381.91376.43380.35360.45327.31308.59279.55257.81248.88253.63260.34260.85272.10278.65282.43286.59296.24272.86186.18187.79186.12187.19184.68184.32171.02171.84172.42168.05165.05164.67164.46169.46177.19162.57165.54167.98173.60186.58187.47186.50154.25155.75136.21129.30118.03117.72117.6392.8791.6289.6693.1995.6593.4192.4496.2599.3696.50
Interest And Fee Income Loans And Leases 337.45336.43306.23306.56308.68286.64247.12235.13210.27192.77193.03206.21213.82216.80233.07241.62244.25242.77247.24222.91134.94133.53130.06130.63128.65128.44116.25120.09121.57114.97111.71115.99116.25118.30124.52114.23116.91119.40124.88139.40140.52138.66107.14110.5894.2489.8481.4682.7380.5954.7953.2253.9054.4753.7052.2052.7252.8552.6851.45
Gain Loss On Investments 0.2210.720.30NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Interest Income Expense Net 261.69258.79238.24236.98239.52236.46243.47256.14260.68248.47239.94244.76248.57245.40254.58257.63258.11258.95256.03232.03153.99154.84154.91157.25157.32161.80153.22156.05156.15152.23152.44153.83154.06158.47166.26153.26156.11158.24162.91177.75175.66174.06143.69145.47126.53118.74108.08108.30106.8983.6781.8580.0982.5483.6380.4179.5180.2780.6077.77
Interest Paid Net 111.55100.47102.62184.1591.52103.6279.9750.0617.839.379.119.1124.583.5318.6024.1425.8728.2240.0644.2531.9232.2030.9829.5027.1521.9617.7515.9615.98NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Income Tax Expense Benefit 35.1731.2830.8425.9030.4024.8034.0436.7437.3334.7032.8934.1934.8135.1536.2036.8835.059.3634.8323.2521.1120.9221.3821.1921.3120.9817.7535.0432.6432.2733.9633.3733.6233.6333.5734.6635.5536.3736.9738.5238.7437.5333.5231.2027.2526.3223.6523.6222.5018.9618.7018.2118.6418.1517.0116.4916.1615.8315.62
Income Taxes Paid 0.0527.860.4925.4425.5867.770.3336.0735.42NANA30.3232.44NANA31.41NANANA18.9020.40NANA19.4020.35NANA0.000.36NANA39.1434.4443.435.4029.8430.6940.582.0027.8627.1545.845.0022.5725.04NANA22.0117.0036.490.2518.8916.9832.462.0015.5014.4331.303.25
Profit Loss 127.28111.60110.4395.48112.2186.94124.69137.88135.82128.49122.33126.79128.59130.61133.31137.09130.06130.90130.8586.1381.7682.2682.4083.3382.5281.6074.3667.14NANANANANANANANANANANANANANA67.1462.9755.2853.8449.3048.2746.1836.9736.4936.4136.3735.0933.88NANANANA
Net Income Loss 127.28111.60110.4395.48112.2186.94124.69137.88135.82128.49122.33126.79128.59130.61133.31137.09130.06130.90130.8586.1381.7682.2682.4083.3382.5281.6074.3667.1467.9168.5568.5668.7968.6568.0768.9570.4770.6071.9373.6478.2376.5775.5167.1462.9755.2853.8449.3048.2746.1836.9736.4936.4136.3735.0933.8832.8032.1731.7531.00
Comprehensive Income Net Of Tax 128.02112.35109.4996.01112.9687.73124.69134.64134.39128.02122.19126.64129.45130.95133.31138.21131.11132.21127.5486.7080.5282.8282.8083.1882.6481.9074.5265.9667.1168.9968.5868.7068.5367.5669.0570.0570.0371.5273.3578.2275.9575.3066.8262.2754.5452.3348.1546.2145.7135.7835.7234.1036.7836.7533.28NANANANA
Interest Income Expense After Provision For Loan Loss 261.69249.72238.24236.98239.52217.92243.47256.14260.68248.47239.94244.76248.57245.40254.58257.63248.11248.96256.03230.33152.89154.04154.21156.25154.97157.80144.22154.05149.25149.48149.76151.83152.06152.47152.26152.76150.80157.74161.66171.40170.66167.73143.09137.60122.51116.19105.28104.75105.0983.0781.7078.9481.5982.2378.7176.6177.2777.3373.36
Noninterest Expense 140.34152.84135.85152.17135.66145.87123.00119.24122.21122.88119.85119.54119.81115.19119.08120.20117.92134.37124.74156.4580.7080.8278.5780.8081.7683.6080.0581.0977.5176.4478.0679.1579.4879.2380.5377.9176.4379.7379.4684.7685.5188.7071.0368.5961.5461.3055.7756.9760.2440.7940.4638.3841.1542.5141.7041.2342.5943.0539.73
Noninterest Income 41.1046.0038.8736.5738.7439.6938.2737.7234.6937.5935.1235.7634.6535.5634.0136.5534.9225.6834.3935.5130.6729.9628.1429.0830.6228.3727.9429.2228.8127.7830.8229.4829.6828.4730.7930.2831.7830.3028.4230.1130.1634.0028.6025.1621.5525.2723.4424.1123.8313.6613.9514.0614.5813.5313.8713.9013.6513.3012.98

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Assets 40115.3239762.2938756.5238547.8839295.6839905.1337829.2337689.8337843.5037387.2638271.1937833.9736512.1236099.9235558.4234059.2833197.6032966.6531743.5032185.7122092.8222375.2222354.2422693.4022612.5822570.7422472.3122587.2922143.2622296.5422477.4222331.0721404.0421796.3121978.3522037.2221567.2421686.2921606.8621507.7321117.3121248.1118913.1318642.0316054.2816270.7215081.3114583.5713712.1210737.3510889.959822.679567.099657.159722.959476.57NANANA
Liabilities 32754.0732478.8531651.9831468.5532263.0132937.0131090.1230990.4631231.8630865.4331766.7631406.7330166.6829789.5929336.5727928.6127162.7227018.5325887.9226214.8717966.0118247.3318244.4518640.5818616.8918635.2918596.1718763.1418361.9018560.3518788.3418688.7617809.2318251.7318479.2818574.3118156.0018329.0018305.0018262.9117934.3618127.5116072.3815855.2113665.1713925.4412931.8612494.1811673.949093.539280.428255.418025.758145.508242.458024.23NANANA
Liabilities And Stockholders Equity 40115.3239762.2938756.5238547.8839295.6839905.1337829.2337689.8337843.5037387.2638271.1937833.9736512.1236099.9235558.4234059.2833197.6032966.6531743.5032185.7122092.8222375.2222354.2422693.4022612.5822570.7422472.3122587.2922143.2622296.5422477.4222331.0721404.0421796.3121978.3522037.2221567.2421686.2921606.8621507.7321117.3121248.1118913.1318642.0316054.2816270.7215081.3114583.5713712.1210737.3510889.959822.679567.099657.159722.959476.57NANANA
Stockholders Equity 7361.257283.447104.547079.337032.686968.126739.126699.376611.646521.836504.426427.246345.446310.346221.856130.676034.885948.125855.575970.844126.814127.904109.794052.823995.703935.453876.143824.153781.363736.193689.083642.313594.813544.583499.063462.913411.243357.283301.863244.833182.953120.592840.752786.822389.112345.282149.452089.392038.181643.821609.531567.271541.341511.651480.501452.34NANANA

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Available For Sale Securities Debt Securities 331.41318.65315.30438.59446.17462.01469.25456.50491.23509.72461.39514.93580.93611.89638.36651.51461.12310.05315.25287.66298.37306.7879.7884.1693.74NANA217.87NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA

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Amortization Of Intangible Assets 4.154.163.243.563.583.172.372.562.582.582.622.852.882.892.933.243.273.293.362.711.251.261.321.411.481.501.571.621.691.721.922.232.422.332.222.292.362.392.492.672.602.632.041.591.461.341.751.932.011.591.701.881.921.942.032.172.272.282.29
Property Plant And Equipment Net 373.81377.39372.33369.99370.24365.30345.15339.45337.10335.94336.07319.80322.80324.50326.97323.57325.99324.98327.29326.83263.70262.48257.60257.05256.43255.47257.06257.06256.01256.51257.56262.08270.39273.10277.95268.00271.65275.35276.47281.55283.01285.75280.81282.93232.24227.46206.83205.27201.44166.27162.68159.66160.10160.12159.05159.05NANANA
Goodwill 3504.393504.113396.403396.093396.463383.703231.643231.643231.643231.643231.643231.643231.643231.643231.643231.643231.693231.963223.143223.671900.851900.851900.851900.851900.851900.851900.851900.851900.851900.851900.851900.851900.351903.451903.451868.831881.951881.951881.951874.191892.261894.271672.001671.521351.781350.831235.741217.161200.10932.97929.16924.54924.54924.54924.54924.26NANANA
Finite Lived Intangible Assets Net 70.1874.3260.7663.9967.5571.1348.9751.3553.9156.4859.0661.6864.5467.4270.3073.2376.4879.7583.0486.4029.0530.3031.5632.8834.3035.7737.2738.8440.4642.1543.8745.7848.0144.8647.2049.4251.7154.0756.4658.9534.4737.0739.7042.0525.2326.6926.5126.1628.0917.7119.3021.0022.8724.8026.7428.78NANANA
Held To Maturity Securities Accumulated Unrecognized Holding Loss 1012.181392.061508.631384.701912.651560.361392.381636.201663.151405.92719.91147.1728.2158.0354.836.881.600.642.1335.4136.5045.37115.38252.81335.95304.69273.49144.5669.5177.52163.31200.771.676.3023.8382.9549.4281.0444.6155.06107.12NANA169.18NANANANANANANANANANANANANANANA
Held To Maturity Securities Fair Value 9964.069992.3710478.3610984.6010834.2211647.0812215.6712387.1212653.2112999.1913629.1712251.2112186.1111399.249529.608039.147145.847600.448136.378303.858217.608656.418975.309081.249080.609218.589239.449323.489154.739301.889517.769339.459020.909279.819457.909393.179494.669592.839536.108948.698671.938692.308410.927987.347556.177820.277929.837418.696772.155294.285494.674492.994252.814409.274518.174310.81NANANA
Held To Maturity Securities 10969.3411383.4911985.8412365.3112746.5813205.3113602.3014019.5014315.2614402.6014336.7412303.9712048.4411306.809449.657891.316970.387407.547980.248282.398196.848645.169057.879324.819410.999515.839502.769454.259176.879329.079644.699504.918858.349135.459352.359399.369419.919574.859447.758900.388690.698679.488417.958066.977606.577833.537779.747215.406549.135127.315348.014336.624074.384262.834401.274188.56NANANA
Available For Sale Debt Securities Amortized Cost Basis 332.48320.65318.25440.36448.61465.41473.65460.90491.53508.20459.28512.64578.45610.50637.38650.54461.56311.81318.68286.90298.32305.1778.8883.7693.15NANA218.01NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Held To Maturity Securities Accumulated Unrecognized Holding Gain 6.900.941.154.000.292.135.753.821.102.5112.3494.42165.88150.46134.78154.72177.06193.53158.2756.8757.2756.6232.809.245.567.4510.1713.8047.3750.3336.3835.32164.22150.66129.3776.76124.1899.01132.96103.3788.36NANA89.55NANANANANANANANANANANANANANANA
Held To Maturity Securities Accumulated Unrecognized Holding Loss 1012.181392.061508.631384.701912.651560.361392.381636.201663.151405.92719.91147.1728.2158.0354.836.881.600.642.1335.4136.5045.37115.38252.81335.95304.69273.49144.5669.5177.52163.31200.771.676.3023.8382.9549.4281.0444.6155.06107.12NANA169.18NANANANANANANANANANANANANANANA
Held To Maturity Securities Debt Maturities After One Through Five Years Fair Value 48.5545.6845.6149.4148.6864.7856.6458.2260.1965.4768.1773.5974.2985.6089.4796.93101.72NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Held To Maturity Securities Debt Maturities Within One Year Fair Value 17.6328.3027.5627.2825.7615.1813.4414.3513.0214.3114.0914.6715.5119.3020.8122.4426.74NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Held To Maturity Securities Debt Maturities After Five Through Ten Years Fair Value 35.7140.1041.5743.7639.1442.0942.1643.3346.0150.5430.7033.2028.4130.5631.7446.9048.05NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Held To Maturity Securities Debt Maturities After Ten Years Fair Value 6.7610.6410.8810.9810.5210.7610.8513.5613.3611.8824.7017.0217.2019.298.148.227.03NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA

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Deposits 28087.6127933.0927175.5227179.8127312.8027380.8927004.2428533.5329300.1029865.6231068.3130771.7629451.6529110.2428763.1027360.4926459.2126152.6923826.3624199.7316929.9216887.6317197.7717256.5616733.7616978.6017332.8817821.4616907.4817070.5317035.5717307.3016921.4117219.1517872.7717681.1216939.9417001.6617561.3517693.1617014.0317281.0615460.0615291.2712455.8012508.6511713.4711641.8410954.608394.588544.458060.257798.747667.697816.387454.92NANANA

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Stockholders Equity 7361.257283.447104.547079.337032.686968.126739.126699.376611.646521.836504.426427.246345.446310.346221.856130.676034.885948.125855.575970.844126.814127.904109.794052.823995.703935.453876.143824.153781.363736.193689.083642.313594.813544.583499.063462.913411.243357.283301.863244.833182.953120.592840.752786.822389.112345.282149.452089.392038.181643.821609.531567.271541.341511.651480.501452.34NANANA
Common Stock Value 95.2695.2693.5393.7293.7293.7290.6991.3191.2191.2092.1692.1792.1692.9492.9392.5792.5692.6692.6594.7568.4069.2669.8569.8569.8469.8469.8269.4969.4869.4969.4869.4969.4869.4869.5870.0670.0870.0870.0669.8269.7969.7866.3066.0860.4260.3557.0556.4856.0947.5147.3346.9546.9346.9346.8246.72NANANA
Additional Paid In Capital Common Stock 3793.433790.303672.093703.803700.683697.523507.673541.923538.723535.883597.963595.023591.953640.273637.193634.143631.213632.853629.893734.521959.962012.662048.162045.352042.782040.032037.502035.222033.382031.682029.952028.132025.72NANA2036.38NANANANANANANANANANANANANANANANANANANANANANANA
Retained Earnings Accumulated Deficit 3473.403399.463341.263283.213240.213179.553144.233069.612981.952893.562812.642738.232659.372576.032490.962403.192311.452224.012135.732140.972098.412044.701991.081937.321882.621825.241768.781719.561677.431633.151588.221543.281498.111450.301403.101355.041305.571254.061201.211146.651087.441027.61968.84917.60870.45828.15787.28750.24714.10678.86651.14623.88596.62568.45541.56515.87NANANA
Adjustments To Additional Paid In Capital Sharebased Compensation Requisite Service Period Recognition Value 3.133.133.383.123.152.743.173.312.862.682.923.083.003.083.413.133.172.963.342.962.492.352.802.582.752.552.611.851.691.741.662.312.072.512.652.562.852.932.762.302.222.541.171.041.030.911.200.391.060.951.220.970.960.940.71NANANANA

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Net Cash Provided By Used In Operating Activities 274.64216.49187.4027.95243.74194.90179.77-0.48191.8079.53235.6875.02184.12204.84230.7585.4259.51227.45209.9353.82142.7172.92133.5693.9468.3380.3477.5344.33138.51NANANANANANANANANANANANANANA58.9780.8555.05112.789.12115.7234.8750.1135.4971.7336.8973.7629.0157.8328.5162.35
Net Cash Provided By Used In Investing Activities 331.16808.35405.34619.75677.73-101.09-102.12-19.89-207.95-271.20-1464.58137.89-440.82-1458.79-963.18-567.80520.10-1346.99120.38689.34359.86-4.33215.1211.04-29.81-57.72-42.47-378.89115.74NANANANANANANANANANANANANANA147.38228.17133.77-500.47-589.85241.17183.40-1036.45-273.96130.8958.29-280.52-234.01343.2574.02-31.31
Net Cash Provided By Used In Financing Activities 96.43-603.7035.54-701.76-806.02-102.33-96.23-157.89224.63-975.00241.521279.44252.17357.891345.11738.26174.611070.84-522.29-589.93-384.31-58.03-467.7511.67-19.548.87-183.38423.40-273.48NANANANANANANANANANANANANANA-96.08-289.06-119.09242.80699.34-301.74-217.62924.81240.36-137.32-94.96193.44223.13-409.06-123.42-56.24

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Net Cash Provided By Used In Operating Activities 274.64216.49187.4027.95243.74194.90179.77-0.48191.8079.53235.6875.02184.12204.84230.7585.4259.51227.45209.9353.82142.7172.92133.5693.9468.3380.3477.5344.33138.51NANANANANANANANANANANANANANA58.9780.8555.05112.789.12115.7234.8750.1135.4971.7336.8973.7629.0157.8328.5162.35
Net Income Loss 127.28111.60110.4395.48112.2186.94124.69137.88135.82128.49122.33126.79128.59130.61133.31137.09130.06130.90130.8586.1381.7682.2682.4083.3382.5281.6074.3667.1467.9168.5568.5668.7968.6568.0768.9570.4770.6071.9373.6478.2376.5775.5167.1462.9755.2853.8449.3048.2746.1836.9736.4936.4136.3735.0933.8832.8032.1731.7531.00
Profit Loss 127.28111.60110.4395.48112.2186.94124.69137.88135.82128.49122.33126.79128.59130.61133.31137.09130.06130.90130.8586.1381.7682.2682.4083.3382.5281.6074.3667.14NANANANANANANANANANANANANANA67.1462.9755.2853.8449.3048.2746.1836.9736.4936.4136.3735.0933.88NANANANA
Share Based Compensation 3.133.133.383.123.152.743.173.312.862.682.923.083.003.083.413.133.172.963.342.962.492.352.802.582.752.552.611.851.691.741.662.312.072.512.652.562.852.932.762.302.222.541.171.041.030.911.200.391.060.951.220.970.960.940.710.830.730.690.79

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Net Cash Provided By Used In Investing Activities 331.16808.35405.34619.75677.73-101.09-102.12-19.89-207.95-271.20-1464.58137.89-440.82-1458.79-963.18-567.80520.10-1346.99120.38689.34359.86-4.33215.1211.04-29.81-57.72-42.47-378.89115.74NANANANANANANANANANANANANANA147.38228.17133.77-500.47-589.85241.17183.40-1036.45-273.96130.8958.29-280.52-234.01343.2574.02-31.31
Payments To Acquire Property Plant And Equipment 4.434.707.184.6411.248.0610.228.175.525.4423.294.063.133.818.024.535.725.566.332.334.518.113.634.624.213.203.084.593.152.371.121.070.571.581.781.402.562.672.733.212.154.232.483.077.3112.041.594.521.384.282.261.862.093.242.290.880.745.216.30

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Net Cash Provided By Used In Financing Activities 96.43-603.7035.54-701.76-806.02-102.33-96.23-157.89224.63-975.00241.521279.44252.17357.891345.11738.26174.611070.84-522.29-589.93-384.31-58.03-467.7511.67-19.548.87-183.38423.40-273.48NANANANANANANANANANANANANANA-96.08-289.06-119.09242.80699.34-301.74-217.62924.81240.36-137.32-94.96193.44223.13-409.06-123.42-56.24
Payments Of Dividends 53.3553.4052.3752.4851.5551.6250.0750.2247.4347.5747.9247.9245.2645.5445.5345.3542.6242.6243.2243.5828.0428.6428.6428.6325.1425.1425.1425.0123.6323.6323.6223.6220.8420.8720.8921.0019.0919.0919.0819.0116.7416.7415.8915.8312.9812.9812.2612.1310.939.269.229.148.218.218.198.177.237.227.22
Payments For Repurchase Of Common Stock 0.0039.4835.280.000.0034.2138.040.000.00NANA0.00NANANA0.204.900.00110.060.0056.06NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA

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Revenues 417.90412.95381.91376.43380.35360.45327.31308.59279.55257.81248.88253.63260.34260.85272.10278.65282.43286.59296.24272.86186.18187.79186.12187.19184.68184.32171.02171.84172.42168.05165.05164.67164.46169.46177.19162.57165.54167.98173.60186.58187.47186.50154.25155.75136.21129.30118.03117.72117.6392.8791.6289.6693.1995.6593.4192.4496.2599.3696.50

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IncomeStatement
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Operating Lease Right Of Use Asset
Assets
Operating Lease Right Of Use Asset
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Operating Lease Right Of Use Asset
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Other Liabilities
Stockholders Equity
Common Stock Value
CashFlow
Payments To Acquire Property Plant And Equipment
NetCashProvidedByUsedInOperatingActivities
Share Based Compensation
NetCashProvidedByUsedInInvestingActivities
Payments To Acquire Property Plant And Equipment
NetCashProvidedByUsedInFinancingActivities
Payments For Repurchase Of Common Stock
Shares
Weighted Average Number Of Diluted Shares Outstanding
DividendsAndRepurchase
Payments For Repurchase Of Common Stock
LesseeOperatingLeaseLiabilityPaymentsDue
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