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Common Stock Value 0.290.290.290.290.290.290.290.290.280.280.280.280.280.280.280.280.280.280.270.270.270.270.270.270.270.260.260.210.210.21
Weighted Average Number Of Diluted Shares Outstanding NA23.7323.6723.65NA23.4623.4623.82NA24.9824.8725.37NA25.2325.2125.17NA24.8024.0724.31NA25.7326.4926.79NA26.9926.3221.56NA20.65
Weighted Average Number Of Shares Outstanding Basic NA23.3323.2723.20NA23.1623.1423.36NA24.2324.4324.80NA24.7624.7224.68NA24.5923.9924.31NA25.6226.4026.68NA26.1825.5220.72NA19.81
Earnings Per Share Basic 0.130.190.080.140.380.520.300.440.700.641.780.951.040.951.101.341.270.890.56-0.180.670.560.480.550.680.340.480.570.290.48
Earnings Per Share Diluted 0.120.190.080.140.380.510.290.430.680.621.740.931.020.941.081.321.250.890.56-0.180.660.560.480.550.670.340.470.560.290.47

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Interest And Fee Income Loans And Leases 52.4952.8954.9053.5558.9659.6757.2652.5451.2844.9344.1340.8543.9844.8845.9948.7150.7248.7750.3948.3252.4050.2547.9145.0944.4441.2638.1536.8834.8630.86
Insurance Commissions And Fees 1.341.471.501.571.061.071.301.590.941.191.351.671.141.231.271.491.330.990.861.051.091.250.960.920.851.110.820.710.860.83
Marketing And Advertising Expense 1.541.422.011.211.901.841.581.342.681.931.781.201.641.401.240.891.171.101.151.291.351.381.801.601.041.611.301.030.570.80
Interest Income Expense Net 87.8188.7087.9286.0391.9291.3391.4593.38100.7298.27101.43100.08104.0691.7790.2883.0283.6074.3864.2562.5066.4164.7763.4261.3164.8861.7853.2647.1345.8039.51
Interest Paid Net 15.6019.2017.6316.1917.3911.9713.185.754.914.123.893.403.404.165.036.367.888.6612.3312.8714.6714.1013.0710.1610.188.146.087.566.784.61
Income Tax Expense Benefit 1.990.940.840.613.094.872.271.507.625.3713.897.816.667.777.2010.349.886.934.50-0.625.323.173.934.484.722.923.513.648.335.10
Income Taxes Paid Net -0.810.170.510.130.120.0412.071.912.180.0044.970.073.657.9028.58-0.137.513.950.610.024.950.2512.500.044.275.093.430.055.213.02
Other Comprehensive Income Loss Net Of Tax -1.301.58-0.26-0.211.680.380.541.381.76-3.68-13.040.020.84-0.28-0.902.560.66-0.2810.94-6.60-0.26-0.051.151.461.11-0.47-0.14-1.11-0.810.06
Net Income Loss 3.845.352.754.169.6312.797.6511.0117.5616.2344.1924.3326.6424.4327.9833.9232.1322.9013.44-4.4516.7114.3212.7314.7918.099.1712.3812.076.309.78
Comprehensive Income Net Of Tax 2.546.922.483.9511.3113.178.1912.3919.3212.5531.1524.3527.4824.1427.0936.4832.7922.6224.38-11.0516.4514.27NANANANANANANANA
Preferred Stock Dividends Income Statement Impact 0.800.800.800.800.800.800.800.800.800.800.800.800.800.800.800.800.800.90NANANANANANA0.000.200.190.190.190.20
Net Income Loss Available To Common Stockholders Basic 3.044.551.953.368.8211.996.8510.2116.7615.4343.3923.5325.8423.6327.1833.1231.3322.0013.44-4.4516.7114.3212.7314.7918.098.9712.1911.886.119.59
Interest Income Expense After Provision For Loan Loss 83.3584.4483.7680.1485.7890.5288.8190.7799.8495.6298.5399.58102.0592.9692.0990.8678.9274.6450.6445.1466.0361.9059.7460.3062.9754.9848.3544.5843.8738.94
Noninterest Expense 93.2895.6597.3490.3787.3086.2690.4089.2886.7786.6988.6178.5683.0072.8170.8060.8959.3055.3052.7357.6952.6652.1550.7048.5746.9648.9537.4034.0433.2328.23
Noninterest Income 15.7517.5017.1715.0014.2313.4111.5111.0212.1212.6748.1611.1214.2612.0513.9014.2922.3910.4920.037.488.677.747.627.546.796.064.955.174.004.17

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Assets 5948.985866.055783.335575.495347.335599.795652.725628.195333.785642.455955.516076.435956.256024.536015.886099.635935.795836.795617.495353.735060.305039.704783.194529.784559.784537.103794.633405.013499.032906.16
Liabilities 5058.064980.284909.094703.154482.934749.414819.264800.974444.814751.285081.235189.775097.395203.865223.495335.625209.015142.944960.624764.384423.714406.004139.833883.573923.173920.463187.413002.073107.342520.06
Liabilities And Stockholders Equity 5948.985866.055783.335575.495347.335599.795652.725628.195333.785642.455955.516076.435956.256024.536015.886099.635935.795836.795617.495353.735060.305039.704783.194529.784559.784537.103794.633405.013499.032906.16
Stockholders Equity 890.92885.76874.25872.34864.40850.38833.47827.22888.97891.17874.28886.66858.86820.67792.39764.00726.78693.84656.87589.35636.59633.69643.36646.22636.61616.64607.23402.94391.70386.10

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Cash And Cash Equivalents At Carrying Value 330.12489.28500.66417.03286.63337.58417.38417.71408.18421.73724.24413.70383.18532.76444.44380.81314.39288.28437.06208.41197.88115.04209.31171.95234.94282.41133.37106.05134.1380.56
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 330.12489.28500.66417.03286.63337.58417.38417.71408.18421.73724.24413.70383.18532.76444.44380.81314.39288.28437.06208.41197.88115.04209.31171.95234.94282.41NANA134.13NA
Equity Securities Fv Ni 4.454.584.424.444.494.294.434.505.194.925.055.085.505.625.855.835.836.046.415.685.445.545.485.185.044.98NANA5.01NA

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Property Plant And Equipment Gross 237.36NANANA174.64NANANA150.88NANANA145.70NANANA134.32NANANA117.56NANANA100.08NANANA74.32NA
Accumulated Depreciation Depletion And Amortization Property Plant And Equipment 76.62NANANA61.18NANANA47.54NANANA39.97NANANA30.91NANANA20.96NANANA16.69NANANA11.46NA
Amortization Of Intangible Assets 2.803.602.872.722.752.853.002.852.842.913.063.113.203.272.431.982.062.142.052.082.152.232.352.402.442.061.361.122.310.87
Property Plant And Equipment Net 160.74156.46159.59162.54113.46113.06114.67115.64103.34104.27105.2991.72105.73104.31106.72105.39103.40105.45107.7498.3696.5987.1185.0084.9383.3982.9468.3162.8362.8643.68
Goodwill 241.95233.71233.71233.71233.71233.71233.71233.71233.71233.71233.71230.49233.73233.73236.97163.27163.21163.26158.74158.74158.74158.74158.74158.74158.74158.7386.6745.3744.1328.81
Intangible Assets Net Excluding Goodwill 16.2617.3220.9423.8423.6526.4029.2532.2532.06NANANA43.13NANANANANANANANANANANANANANANANANA
Finite Lived Intangible Assets Net 15.4117.3220.9423.8422.8026.4029.2532.2531.2134.9036.9638.6343.1346.3349.6024.7426.7128.7827.4229.4631.5433.7035.9238.2740.6743.1131.1118.5519.6513.64
Intangible Assets Net Including Goodwill 258.21251.03254.65257.55257.36260.11262.96265.96265.77268.60270.67269.12276.86280.06286.57188.01189.92192.04186.16188.21190.29192.44194.67197.01199.42201.84117.7863.9263.7842.45
Equity Securities Fv Ni 4.454.584.424.444.494.294.434.505.194.925.055.085.505.625.855.835.836.046.415.685.445.545.485.185.044.98NANA5.01NA
Held To Maturity Securities Fair Value 2.512.503.583.754.014.764.755.185.485.605.795.735.455.535.625.535.855.476.056.746.917.237.287.287.338.098.098.117.5317.66
Debt Securities Held To Maturity Excluding Accrued Interest After Allowance For Credit Loss 1.882.122.793.012.983.313.383.874.084.156.69NA4.95NANANA5.92NANANANANANANANANANANANANA
Held To Maturity Securities Debt Maturities After One Through Five Years Fair Value 2.512.502.312.402.582.082.11NANANANANANANANANANANANANANANANANANANANANANANA

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Deposits 4820.824706.694392.024450.963977.484487.054293.474038.994171.344441.354780.924331.794646.684822.574725.454789.664716.604248.104062.333682.013789.913697.833658.983314.443450.353439.052624.942533.502621.352012.55

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Stockholders Equity 890.92885.76874.25872.34864.40850.38833.47827.22888.97891.17874.28886.66858.86820.67792.39764.00726.78693.84656.87589.35636.59633.69643.36646.22636.61616.64607.23402.94391.70386.10
Common Stock Value 0.290.290.290.290.290.290.290.290.280.280.280.280.280.280.280.280.280.280.270.270.270.270.270.270.270.260.260.210.210.21
Additional Paid In Capital 567.88564.46559.07555.61550.74547.21542.57539.24534.79529.80524.64516.55510.94499.28494.22490.70489.15488.09472.80NA473.25NANANANANANANANANA
Retained Earnings Accumulated Deficit 549.22546.18541.63539.69536.33527.51515.51508.67498.46481.70466.27422.88399.35373.51349.88322.70289.58258.25236.25222.81229.03212.32198.00185.27170.49152.40143.43131.23119.36113.25
Accumulated Other Comprehensive Income Loss Net Of Tax -3.12-1.82-3.40-3.13-2.93-4.61-4.99-5.52-6.90-8.66-4.988.068.037.207.488.385.825.165.44-5.501.111.361.410.26-1.20-2.32-1.85-1.71-0.600.21
Treasury Stock Value 268.36268.35268.35265.12265.04265.02264.92260.45182.66156.95156.92106.11104.74104.60104.49103.06103.05102.94102.89102.6867.0752.6327.479.882.292.292.251.851.781.76
Adjustments To Additional Paid In Capital Sharebased Compensation Requisite Service Period Recognition Value NA4.033.443.63NA3.713.322.88NA4.307.884.95NA4.453.391.35NA1.310.971.17NA1.060.820.910.770.910.570.490.320.46

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Net Cash Provided By Used In Operating Activities 36.9821.2116.35-15.9725.258.997.931.0311.0149.35-37.0051.1247.6931.7735.8521.6637.0039.776.4614.1015.9622.6613.0620.7720.7323.1220.539.4514.2812.54
Net Cash Provided By Used In Investing Activities -269.95-97.84-119.76-102.48208.99-32.40-4.28-285.00284.16-13.79507.54-105.52-90.6680.88156.63-69.20-105.66-355.18-32.16-281.7463.02-357.12-211.74-14.54-70.7374.67-337.4965.25-86.82-105.10
Net Cash Provided By Used In Financing Activities 73.8165.24187.04248.85-285.18-56.38-4.00293.50-308.71-338.07-160.0184.92-106.61-24.33-128.85113.9694.78166.62254.34278.183.85240.19236.04-69.222.5451.25344.28-102.78126.1155.61

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Net Cash Provided By Used In Operating Activities 36.9821.2116.35-15.9725.258.997.931.0311.0149.35-37.0051.1247.6931.7735.8521.6637.0039.776.4614.1015.9622.6613.0620.7720.7323.1220.539.4514.2812.54
Net Income Loss 3.845.352.754.169.6312.797.6511.0117.5616.2344.1924.3326.6424.4327.9833.9232.1322.9013.44-4.4516.7114.3212.7314.7918.099.1712.3812.076.309.78
Share Based Compensation 3.434.033.443.633.313.713.322.884.054.307.884.9511.134.453.391.351.181.310.971.170.861.060.820.910.770.910.570.490.320.46
Amortization Of Financing Costs 0.090.130.130.130.220.220.220.220.210.210.210.210.200.910.060.060.050.050.060.020.040.030.030.030.030.030.030.030.020.02

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Net Cash Provided By Used In Investing Activities -269.95-97.84-119.76-102.48208.99-32.40-4.28-285.00284.16-13.79507.54-105.52-90.6680.88156.63-69.20-105.66-355.18-32.16-281.7463.02-357.12-211.74-14.54-70.7374.67-337.4965.25-86.82-105.10

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Net Cash Provided By Used In Financing Activities 73.8165.24187.04248.85-285.18-56.38-4.00293.50-308.71-338.07-160.0184.92-106.61-24.33-128.85113.9694.78166.62254.34278.183.85240.19236.04-69.222.5451.25344.28-102.78126.1155.61
Payments Of Dividends 0.800.800.800.800.800.800.800.800.800.800.800.800.800.800.800.800.80NANANANANANANANANANANANANA
Payments For Repurchase Of Common Stock -0.000.003.210.080.000.004.4477.1924.770.0150.611.320.000.00NANA0.000.000.1935.5914.4125.0017.567.550.000.00NANA0.000.00

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Credit And Debit Card 1.952.132.081.872.032.062.121.972.022.032.082.012.472.142.231.971.952.091.941.801.942.022.071.842.001.881.391.241.120.96
Deposit Account 1.681.861.811.731.791.731.771.711.661.561.661.962.052.031.861.791.641.470.571.591.891.941.701.611.701.411.211.151.181.05
Financial Service 9.059.138.528.688.538.117.466.156.136.126.275.705.715.204.472.251.611.401.301.691.691.621.521.611.641.591.120.800.660.62
Credit And Debit Card 1.952.132.081.872.032.062.121.972.022.032.082.012.472.142.231.971.952.091.941.801.942.022.071.842.001.881.391.241.120.96
Deposit Account 1.681.861.811.731.791.731.771.711.661.561.661.962.052.031.861.791.641.470.571.591.891.941.701.611.701.411.211.151.181.05
Financial Service 9.059.138.528.688.538.117.466.156.136.126.275.705.715.204.472.251.611.401.301.691.691.621.521.611.641.591.120.800.660.62

Plots across concepts


IncomeStatement
Other Comprehensive Income Loss Net Of Tax
Balance Sheet
Intangible Assets Net Excluding Goodwill
Assets
Equity Securities Fv Ni
Current Assets
Cash And Cash Equivalents At Carrying Value
NonCurrent Assets
Deferred Income Tax Assets Net
PropertyPlantAndEquipmentNet
Accumulated Depreciation Depletion And Amortization Property Plant And Equipment
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
NetCashProvidedByUsedInFinancingActivities
Payments For Repurchase Of Common Stock
Shares
Weighted Average Number Of Shares Outstanding Basic
DividendsAndRepurchase
Payments For Repurchase Of Common Stock
LesseeOperatingLeaseLiabilityPaymentsDue
Lessee Operating Lease Liability Undiscounted Excess Amount
FiniteLivedIntangibleAssets
Finite Lived Intangible Assets Net
AssetsBanks
Cash And Due From Banks
LiabilitiesBanks
Deposits

Line plots across dimensions of each concept