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dei: Entity Common Stock Shares Outstanding 77.2477.22NANANANANANANANANANANANANANANANANANA
Weighted Average Number Of Diluted Shares Outstanding 76.6476.43NA76.2076.0976.04NA75.9875.9475.93NA75.8475.8175.66NA75.3675.3275.9776.5676.61
Weighted Average Number Of Shares Outstanding Basic 76.5176.28NA76.0476.0375.92NA75.7675.7575.65NA75.4975.4875.37NA75.2475.2175.8076.3076.34
Earnings Per Share Basic 0.651.581.201.692.551.761.771.911.871.661.721.761.701.611.421.420.830.371.451.31
Earnings Per Share Diluted 0.641.571.191.692.541.761.761.911.861.651.711.751.691.611.421.420.830.371.441.31

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Interest And Fee Income Loans And Leases 551.66541.20530.60508.96478.90431.90387.33315.94252.18227.05230.03233.86232.79227.37232.56224.48226.28236.42247.15237.65
Interest Expense 336.13332.45327.54310.05259.85193.81131.7265.9827.8019.1420.4323.3226.0129.0536.0642.5951.0869.5279.9476.93
Interest Income Expense Net 332.26318.03317.25317.24315.39312.23319.46305.78264.57239.47238.76237.54233.22222.87220.99206.59200.66193.55195.81188.92
Interest Paid Net 335.01341.04327.71296.16237.41181.25122.1469.0322.5322.7719.4726.9725.3238.3636.7351.3650.0677.7575.0572.81
Income Loss From Continuing Operations Before Income Taxes Domestic 65.00151.28128.86167.98245.90171.27174.93183.84181.13157.59166.39169.41162.46153.65133.94137.0573.6726.69137.22124.72
Income Tax Expense Benefit 11.8427.3333.8835.3848.6033.9937.0835.1936.0028.4832.8732.8330.6728.2223.0726.4011.23-1.6726.7024.40
Income Taxes Paid Net 0.310.00NA0.002.104.20NANANANANANANANANANANANANANA
Income Taxes Paid 24.721.223.1977.2114.365.1213.7644.9169.560.6219.6932.5455.640.4320.9466.1123.130.6219.3141.38
Net Income Loss 53.16123.9494.98132.60197.30137.27137.85148.66145.13129.11133.53136.58131.79125.43110.88110.6462.4428.36110.52100.32
Comprehensive Income Net Of Tax 81.6997.35242.335.12171.67181.27189.7837.4244.83-9.23129.45101.74154.3473.13128.74104.11101.46123.33137.15135.86
Preferred Stock Dividends Income Statement Impact 3.803.803.803.803.803.803.803.803.803.803.803.803.803.803.803.80NANANANA
Net Income Loss Available To Common Stockholders Basic 49.36120.1591.18128.81193.50133.47134.05144.86141.33125.31129.73132.78127.99121.63107.08106.8562.4428.36110.52100.32
Net Income Loss Available To Common Stockholders Diluted 49.36120.15NA128.81193.50133.47NA144.86141.33125.31NA132.78127.99121.63NA106.8562.4428.36110.52100.32
Interest Income Expense After Provision For Loan Loss 302.10283.54300.94290.42283.70293.46294.65278.29251.67236.75236.09234.16230.39215.63213.81190.26132.3293.66187.55181.72
Noninterest Expense 271.39242.37251.17213.23211.64211.73202.05199.25196.04182.66170.42168.85166.14154.70163.31144.28131.60137.35132.94127.69
Noninterest Income 34.29110.1079.0990.80173.8489.5382.32104.81125.50103.50100.72104.0998.2192.7183.4491.0672.9570.3882.6270.68

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Assets 49366.9748894.2047959.8847523.7946875.9845119.5941970.0241000.1240121.2939400.3838469.4036523.9435412.3135299.7134932.8633824.9333342.1129264.1827547.8326540.35
Liabilities 43192.3042790.3541924.1041686.1541032.2239435.4636450.6335658.0134806.0534119.4333158.7931332.1430311.0830340.1830028.2529037.6228646.4724879.0523253.2022363.99
Liabilities And Stockholders Equity 49366.9748894.2047959.8847523.7946875.9845119.5941970.0241000.1240121.2939400.3838469.4036523.9435412.3135299.7134932.8633824.9333342.1129264.1827547.8326540.35
Stockholders Equity 6174.676103.856035.795837.645843.765684.135519.395342.115315.245280.955310.615191.805101.234959.524904.614787.314695.654385.134294.634176.36

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Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 2377.922706.362230.353152.103833.132819.481177.381803.521631.913319.784101.543466.512891.383187.413961.45NANANANANA
Available For Sale Securities Debt Securities 4908.974378.724317.533863.703591.283825.203558.873542.603809.343569.724914.194634.65NANA3586.68NANANANANA

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Property Plant And Equipment Gross NANA398.97387.74373.40NA485.36NANANA466.18NANANA442.12NANANANANA
Accumulated Depreciation Depletion And Amortization Property Plant And Equipment NANA142.09135.07128.55NA157.48NANANA178.00NANANA152.12NANANANANA
Amortization Of Intangible Assets 1.571.581.751.761.781.791.941.952.051.872.062.092.172.212.382.422.482.522.432.27
Property Plant And Equipment Net 282.77265.58256.88252.67244.85354.71327.88320.27302.39296.78288.18288.83287.99289.51290.00287.71281.74274.92274.98274.73
Goodwill 1846.971846.971846.971846.971846.971846.971846.971846.471846.471850.951819.811819.811819.811819.811819.811819.811819.811819.811830.651807.12
Intangible Assets Net Excluding Goodwill 24.3125.8827.4629.2230.9832.7634.5535.6737.6232.0033.8235.8837.9640.1342.3444.7147.1348.6139.3541.58
Finite Lived Intangible Assets Net NANA27.50NANANA34.60NANANA33.80NANANA42.30NANANANANA
Intangible Assets Net Including Goodwill NANA1874.44NANANA1881.53NANANA1853.63NANANA1862.15NANANANANA
Held To Maturity Securities Accumulated Unrecognized Holding Loss 258.55264.79239.60439.06292.10272.73337.98419.08261.71140.641.120.810.433.110.292.816.3822.330.000.00
Held To Maturity Securities Fair Value 2719.642733.062775.182581.232746.052788.712744.952520.972484.362432.651188.051014.411030.641033.751066.531060.851061.231051.09202.80200.60
Held To Maturity Securities 2975.632994.843008.063020.293033.893055.533080.662940.022745.762567.491156.12989.40996.041014.541028.551039.841048.221059.40189.68190.93
Available For Sale Debt Securities Amortized Cost Basis 5096.194613.824548.774266.263854.014089.983871.493925.394052.903688.204858.544579.144238.373620.723487.303394.67NANANANA
Held To Maturity Securities Accumulated Unrecognized Holding Gain 2.553.016.72NA4.275.902.270.030.315.8033.0525.8235.0322.3238.2723.8119.3914.0213.149.64
Held To Maturity Securities Accumulated Unrecognized Holding Loss 258.55264.79239.60439.06292.10272.73337.98419.08261.71140.641.120.810.433.110.292.816.3822.330.000.00
Held To Maturity Securities Debt Maturities After One Through Five Years Fair Value 347.13347.87383.31367.16387.46391.71396.68348.13300.46264.6813.341.471.471.481.491.48NANANANA
Held To Maturity Securities Debt Maturities Within One Year Fair Value 119.1892.8443.5319.06NANA1.981.971.971.97NANANANANANANANANANA
Held To Maturity Securities Debt Maturities After Five Through Ten Years Fair Value 60.4384.7994.03117.29120.33122.35120.2578.62109.3131.635.735.736.707.227.307.29NANANANA
Held To Maturity Securities Debt Maturities After Ten Years Fair Value 1677.491683.161722.291562.191706.571730.021688.791533.851546.981638.041062.531007.201022.471025.051057.741052.07NANANANA

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Time Deposit Maturities Year One NANA4093.15NANANA2730.93NANANA1734.40NANANA2810.18NANANANANA

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Stockholders Equity 6174.676103.856035.795837.645843.765684.135519.395342.115315.245280.955310.615191.805101.234959.524904.614787.314695.654385.134294.634176.36
Additional Paid In Capital 3110.993100.823109.493097.703087.973079.023074.873066.533056.233045.913045.803038.803032.343027.313028.063023.433019.293015.523070.243076.49
Retained Earnings Accumulated Deficit 2919.922887.802784.932745.932634.322458.012341.712224.742096.951972.691864.351748.491629.581515.451407.721312.931218.371168.301100.521002.43
Accumulated Other Comprehensive Income Loss Net Of Tax -150.59-179.12-152.53-299.87-172.39-146.76-190.76-242.69-131.45-31.15107.19111.27146.10123.55175.85157.99164.53125.5147.1420.51

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Net Cash Provided By Used In Operating Activities 85.69197.28107.14121.95-110.56359.87104.72300.03148.0652.12218.76141.12174.39123.17126.10116.53128.5956.61130.4628.75
Net Cash Provided By Used In Investing Activities -780.38-535.70-1264.82-1311.92-462.53-1563.16-1560.17-792.86-2494.12-1837.29-1384.96-540.78-382.30-1304.91-154.62-157.33-2378.11-878.60-552.11-706.90
Net Cash Provided By Used In Financing Activities 366.24814.43235.93508.951586.742845.39829.31664.44658.191003.421801.23974.79-88.12407.69946.64390.673918.621319.65714.36820.23

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Net Cash Provided By Used In Operating Activities 85.69197.28107.14121.95-110.56359.87104.72300.03148.0652.12218.76141.12174.39123.17126.10116.53128.5956.61130.4628.75
Net Income Loss 53.16123.9494.98132.60197.30137.27137.85148.66145.13129.11133.53136.58131.79125.43110.88110.6462.4428.36110.52100.32
Depreciation Depletion And Amortization NANA8.107.307.50NA6.806.706.40NANANANANANANANANANANA
Deferred Income Tax Expense Benefit -11.7710.2160.489.39-18.1920.6918.48-1.54-12.8715.68-14.55-2.11-3.117.54-27.03-7.25-12.24-11.80-1.55-1.79
Share Based Compensation 10.6210.3412.3110.129.2510.208.6710.6710.769.457.126.775.675.404.644.444.155.505.025.16

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Net Cash Provided By Used In Investing Activities -780.38-535.70-1264.82-1311.92-462.53-1563.16-1560.17-792.86-2494.12-1837.29-1384.96-540.78-382.30-1304.91-154.62-157.33-2378.11-878.60-552.11-706.90
Payments To Acquire Property Plant And Equipment 26.8917.3216.3915.3211.0435.5116.0524.4012.9910.076.566.174.755.708.4511.6512.336.335.5026.58

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Net Cash Provided By Used In Financing Activities 366.24814.43235.93508.951586.742845.39829.31664.44658.191003.421801.23974.79-88.12407.69946.64390.673918.621319.65714.36820.23
Payments Of Dividends Common Stock 17.2517.2717.1917.1917.1917.1717.0817.0717.0716.9813.8713.8713.8613.9012.2812.2912.3812.4412.4412.43

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Bankers Healthcare Group L L C 228.81277.26251.20311.28311.33301.95280.24293.43297.95238.61206.74192.16178.98157.62138.68128.5192.7997.94108.77107.98

Plots across concepts


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Intangible Assets Net Excluding Goodwill
Assets
Intangible Assets Net Excluding Goodwill
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Intangible Assets Net Excluding Goodwill
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