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Common Stock Value 119.17119.14119.01118.98115.27115.15106.22106.16106.03106.0389.3586.5686.6786.7886.6786.6178.3378.2879.0178.9779.0879.0379.2379.2079.1479.1277.5873.4070.9870.9770.9070.8669.8666.2666.2063.1954.4150.2350.1850.1750.0650.0146.2445.2243.3643.0642.4242.3941.7341.6941.6541.6041.5520.9018.9418.8918.86
Weighted Average Number Of Diluted Shares Outstanding 119.78119.74NA119.62115.87115.72NA106.80106.72106.68NA87.3687.4287.47NA87.2078.9279.45NA79.6779.6879.81NA79.8279.750.08NA73.160.0771.71NA71.5672.210.07NA66.300.0660.91NA60.7860.7160.06NA59.2058.1458.08NA57.8857.8457.76NA57.6057.54NANA18.9418.91
Weighted Average Number Of Shares Outstanding Basic 119.73119.66NA119.51115.77115.45NA106.69106.61106.55NA87.2187.2987.32NA87.1378.9279.34NA79.6679.6779.81NA79.8179.750.08NA73.150.0771.70NA71.5672.200.07NA66.290.0660.91NA60.7860.7160.06NA59.1058.1458.08NA57.8857.8457.76NA57.6025.43NANA18.9418.91
Earnings Per Share Basic 0.540.510.100.390.530.520.740.740.610.430.550.820.780.820.660.520.320.400.610.600.550.550.560.540.490.47-0.180.380.390.330.380.360.350.310.250.270.280.290.300.290.270.250.200.213.900.150.040.130.060.15-1.56-0.160.18NA-9.27-12.62-3.29
Earnings Per Share Diluted 0.540.510.100.390.530.520.740.740.610.430.550.820.780.820.660.520.320.400.610.600.550.550.560.540.490.47-0.180.380.390.330.380.360.350.310.250.270.280.290.300.290.270.250.200.213.900.150.040.130.060.15-1.56-0.160.08NA-9.27-12.62-3.29
Tier One Risk Based Capital To Risk Weighted Assets 0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00NANANA0.00NANANA0.00NANANA0.00NANANA0.00NANANA0.00NANANA0.00NANANA0.00NANANA0.00NANANANANANA
Capital To Risk Weighted Assets 0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00NANANA0.00NANANA0.00NANANA0.00NANANA0.00NANANA0.00NANANA0.00NANANA0.00NANANA0.00NANANANANANA

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Revenue From Contract With Customer Excluding Assessed Tax 233.02225.84165.74204.26213.92219.90223.41216.30206.76179.68175.38192.17187.81189.05183.86155.34116.00122.23143.32145.27139.068.459.179.11130.028.938.778.22108.03104.83-256.01105.6598.7293.7694.7583.0277.3671.1270.9668.9766.5263.4966.0265.1122.0156.1256.4155.2251.2658.8057.2934.3661.42-122.2036.0821.8611.21
Revenues 233.02225.84165.74204.26213.92219.90223.41216.30206.76179.68175.38192.17187.81189.05183.86155.34116.00122.23143.32145.27139.06133.30135.82134.49130.02121.88118.24109.35108.03104.83106.16105.6598.7293.7694.7583.0277.3671.1270.9668.9766.5263.4966.0265.1122.0156.1256.4155.2251.2658.8057.2934.3661.42-122.2036.0821.8611.21
Interest And Fee Income Loans And Leases 291.60283.98281.91273.78250.48236.43197.33174.06155.27146.74123.47128.48128.06125.73141.35126.94107.86118.06118.46122.64119.67115.26112.09108.33103.4996.4787.2380.2674.8372.7371.4969.4463.4763.9863.4457.1752.9849.6650.6849.6548.2647.6949.1250.1150.7350.9353.3453.8754.1855.7657.7059.2960.9661.1166.6668.4270.61
Realized Investment Gains Losses NANA-51.690.000.00-1.64-0.180.000.05-3.730.040.00NANA0.000.750.000.00-0.900.000.15-0.270.650.00-0.36-0.94-0.150.19NANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Marketing And Advertising Expense 2.461.902.562.252.312.352.052.542.301.491.761.461.491.209.891.782.261.271.911.371.601.291.651.441.381.510.901.031.261.061.151.091.320.860.980.811.130.750.800.891.140.630.780.961.040.940.990.931.090.850.941.051.320.981.101.131.35
Interest Expense 138.26137.58135.25120.5995.4968.0230.9414.118.477.276.216.647.439.4810.6813.3214.3017.9419.7821.2821.3720.8818.9816.6113.7412.019.259.068.027.406.856.456.165.775.605.404.825.296.026.376.836.336.057.037.137.478.428.619.9411.3612.8615.2617.9819.5721.0824.3526.07
Interest Expense Long Term Debt 3.743.793.473.673.773.904.254.214.174.143.353.493.814.264.254.293.032.863.113.213.263.343.653.603.793.291.742.762.852.882.832.832.672.692.702.672.212.612.642.642.642.632.653.002.672.663.082.372.382.372.382.642.752.782.752.672.67
Interest Income Expense Net 208.70199.15203.45202.56200.29211.47209.89199.77178.90163.79137.56141.04138.38132.06145.40128.45109.30118.61116.64119.34117.78115.63114.88112.11108.48103.2897.5189.7885.1583.5580.9278.9974.9274.9573.7665.4360.9957.2457.9356.5654.5753.8155.7053.9754.1954.2955.6556.9556.3958.4258.6358.8658.5255.9659.6359.5061.13
Income Tax Expense Benefit 19.3618.20-2.9411.9318.2317.7924.6322.3919.1212.3814.2021.6022.0020.1517.8711.766.928.8112.8813.9813.1712.9612.4513.1013.5010.7554.2715.7316.5418.4817.6215.7515.3913.5811.0510.8711.1210.3910.799.999.639.048.499.52-256.780.580.42-0.140.450.3191.89-5.965.08-0.14144.26-17.22-32.92
Other Comprehensive Income Loss Cash Flow Hedge Gain Loss After Reclassification And Tax -0.280.81NA0.781.54-1.51NA3.781.884.18NA0.43-1.934.41NA-0.14-0.57NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Net Income Loss 66.6162.6314.0947.8763.2962.3081.4581.1666.8448.0252.0273.8270.2673.7159.5047.6125.1031.8849.0148.3644.0944.2645.1443.6839.6337.66-11.9227.9528.2723.5227.2225.8725.2722.3018.2117.8917.8117.6718.2517.6216.3615.4015.9115.50229.9611.775.2610.576.5011.53-85.67-6.207.62-237.34-173.10-236.41-59.53
Comprehensive Income Net Of Tax 68.7165.19107.4021.2751.8297.3589.118.21-22.01-100.8527.4860.2277.3040.6356.0348.2446.7842.3643.1455.8566.8669.8666.5633.4433.0616.71-24.4528.8835.6131.051.0829.5339.0329.997.8819.7311.5225.7817.1815.9119.1116.4820.235.12239.0012.58-2.0411.33-1.545.77-105.0610.2010454.00-243.24-192.72241.00-60133.00
Preferred Stock Dividends Income Statement Impact 1.571.571.571.621.721.721.721.721.721.721.721.721.721.721.721.81NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Net Income Loss Available To Common Stockholders Basic 64.6760.7112.6046.7761.2360.2479.2879.0364.7646.0649.9971.6568.1171.5357.2745.4424.9131.6448.6248.0143.7743.9544.8043.3839.3637.38-11.8327.7228.2723.5227.2225.8725.2722.2718.1817.8617.8017.6718.2517.6216.3614.9613.0012.44226.918.712.227.533.478.50-88.70-9.224.60-240.11-175.69-239.00-62.11
Net Income Loss Available To Common Stockholders Diluted 64.6760.7112.6046.7761.2360.2479.2879.0364.7646.0649.9971.6568.1171.5357.2745.4424.91NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Interest Income Expense After Provision For Loan Loss 196.47186.25188.83172.29177.53189.69190.06184.38173.30140.71138.20152.07151.96144.34142.49106.6675.7696.42113.14116.24114.53112.33112.78110.31106.6899.4896.3188.7884.3582.7580.9279.2975.2275.1573.4664.7360.0955.4456.1354.5652.3751.3152.7050.975.6943.2941.6541.4538.3943.4244.6322.8647.52-134.0423.649.00-0.37
Noninterest Expense 147.04145.00154.59144.47132.41139.81117.33112.75120.79119.28109.1696.7595.5495.19106.4995.9883.9881.5481.4282.9281.8176.0878.2477.7276.8573.4775.8865.6763.2362.8361.3264.0258.0657.8865.4954.2748.4243.0641.9241.3640.5339.0541.6140.1048.8243.7750.7344.7844.3146.9551.0846.5248.73115.2764.92275.50103.66
Noninterest Income 36.5639.59-23.0931.9836.3930.2133.3531.9233.4638.9737.1840.0935.8444.7041.3848.6840.2425.8130.1829.0324.5320.9723.0524.1823.3422.4021.9320.5723.6822.0725.2326.3623.5018.6121.2818.3017.2715.6814.8214.4114.1412.1813.3214.1416.3112.8314.7613.7612.8715.3812.6711.5013.9011.8412.4412.8611.58

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Assets 27057.2027364.8927297.2526869.2126120.2025871.8524008.8823687.8524213.0124374.2020946.7719481.1618895.7218556.9117794.3717152.8815004.8913085.8712916.0212809.4912779.4412505.8312573.1912405.1312385.5412264.2511915.4611129.0310837.4110731.8010708.6610297.619928.479781.339626.119414.008246.307663.907566.997525.897352.077398.247425.427243.297162.646849.376802.266699.236737.117173.696983.427159.127409.677709.497443.207013.057652.48
Liabilities 23714.5724064.7824035.7323685.3823014.6122793.7321308.2121053.1521561.7221679.1918724.5317358.8016809.4416525.8215786.8415185.6213233.2411445.2511280.3211204.0611213.1010997.6711115.6411003.2511006.4310907.5010612.139908.399704.779630.269632.929218.328868.748747.618607.828400.867419.076900.206827.416789.466630.106694.516629.706391.086333.336257.156220.856113.986161.116594.156407.936310.916549.697123.446807.686350.576748.07
Liabilities And Stockholders Equity 27057.2027364.8927297.2526869.2126120.2025871.8524008.8823687.8524213.0124374.2020946.7719481.1618895.7218556.9117794.3717152.8815004.8913085.8712916.0212809.4912779.4412505.8312573.1912405.1312385.5412264.2511915.4611129.0310837.4110731.8010708.6610297.619928.479781.339626.119414.008246.307663.907566.997525.897352.077398.247425.427243.297162.646849.376802.266699.236737.117173.696983.427159.127409.677709.497443.207013.057652.48
Stockholders Equity 3342.633300.113261.533183.823105.593078.122700.672634.712651.292695.012222.242122.362086.292031.082007.531967.261771.641640.611635.691605.421566.331508.161457.551401.881379.111356.761303.331220.641132.641101.541075.731079.291059.741033.721018.281013.14827.23763.71739.58736.42721.97703.73795.72852.22829.30592.22581.40585.25576.00579.54575.49848.22859.98586.04635.51662.48904.42
Tier One Risk Based Capital 2607.142557.092520.782535.492462.802419.832260.632198.242135.862087.821784.601729.351701.151652.271603.171555.571421.541307.321299.40NANANA1172.61NANANA1076.46NANANA874.45NANANA773.68NANANA642.66NANANA649.16NANANA652.69NANANA618.70NANANANANANA

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Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 562.86961.931003.88759.50710.74777.68646.85484.021215.711906.662318.511817.791419.401334.111608.621045.641328.96520.50515.21361.06275.78325.50327.26311.97316.37352.25314.27246.84233.19230.97217.35NANANA240.36NANANANANANANANANANANANANANANANANANANANANANA
Equity Securities Fv Ni NANA7.39NANANA13.64NANANA1.30NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA

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Property Plant And Equipment Gross NANA556.28NANANA461.44NANANA394.66NANANA360.06NANANA351.48NANANA331.25NANANA322.87NANANA300.29NANANA279.27NANANA254.32NANANA258.42NANANA263.14NANANA262.21NANANANANANA
Accumulated Depreciation Depletion And Amortization Property Plant And Equipment NANA177.86NANANA162.99NANANA149.37NANANA141.57NANANA135.50NANANA125.11NANANA114.02NANANA110.36NANANA101.11NANANA94.93NANANA94.83NANANA94.22NANANA87.12NANANANANANA
Amortization Of Intangible Assets 3.793.894.054.173.423.531.621.681.741.791.101.030.930.981.041.100.991.041.091.211.341.291.421.681.851.901.761.210.900.971.071.120.991.011.04714.00447.000.240.290.310.360.390.410.430.490.700.730.730.730.730.750.750.760.760.770.790.79
Property Plant And Equipment Net 395.20386.05378.42371.44353.32336.62298.46288.60286.25283.56245.30225.35224.98216.75218.49211.88211.97214.74215.98215.44217.09214.02206.14204.08202.10208.24208.85193.91189.61189.44189.94189.30181.35180.69178.16192.99173.31159.04159.39160.45161.61161.54163.59165.99167.20168.04168.92170.53172.20174.42175.09176.84178.21179.14178.24178.84180.12
Goodwill 916.15921.25919.91919.91896.72896.72751.17751.17751.17751.17452.01381.97367.81367.81367.81369.02327.00327.00327.43327.43327.43307.11307.11307.11307.11306.42220.59165.89142.03142.03142.03142.03131.31NA130.61123.5714.531.511.511.49NANANANANANANANANANANANANANANANANA
Finite Lived Intangible Assets Net 62.4966.2970.1774.2361.1064.5328.0729.6931.3733.1120.4019.02NANA14.0115.06NANA14.8215.9117.12NA16.9618.3820.0621.9123.8116.83NANA14.2015.26NANA16.8117.855.66NANA3.912.733.093.483.894.324.805.51NANANA8.43NANANANANANA
Intangible Assets Net Including Goodwill 978.64987.54990.09994.14957.82961.24779.25780.87782.54784.28472.41400.99379.91380.84381.82384.07340.22341.21342.25343.34344.55322.78324.07325.49327.17328.33244.40182.72154.35155.25156.22157.29146.12146.41147.42141.4120.19NA3.643.912.73NANANANANANANANANANANANANANANANA
Equity Securities Fv Ni NANA7.39NANANA13.64NANANA1.30NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Held To Maturity Securities Accumulated Unrecognized Holding Loss 428.52422.25395.42526.41421.48377.52422.67435.30291.81150.1817.8014.925.1312.030.500.150.150.070.840.651.043.067.389.628.056.563.601.881.682.962.900.180.010.381.670.52-1.69-0.18-1.253.25-2.02-1.873.560.45NANANANANANANANANANANANANA
Held To Maturity Securities Fair Value 2004.432042.912095.621992.362132.402206.872191.072241.162431.142351.871148.801079.92861.49586.83437.19413.82320.25301.60287.90248.55256.98265.12268.80277.47291.46308.01321.28310.45316.58333.03333.17357.55356.74363.09371.66368.10388.07413.55425.23440.31458.86473.14485.58214.65226.69247.09261.13281.34299.97318.49343.53369.02379.23248.36267.99263.01327.50
Held To Maturity Securities Accumulated Unrecognized Holding Gain 0.010.030.200.000.040.310.090.060.471.0710.5111.5214.2111.1617.3315.6013.7611.265.216.174.622.841.781.351.942.493.795.586.266.006.2312.8114.8011.778.6311.07-10.00-14.50-11.22-11.15-12.13-10.31-9.41-9.49NANANANANANANANANANANANANA
Held To Maturity Securities Accumulated Unrecognized Holding Loss 428.52422.25395.42526.41421.48377.52422.67435.30291.81150.1817.8014.925.1312.030.500.150.150.070.840.651.043.067.389.628.056.563.601.881.682.962.900.180.010.381.670.52-1.69-0.18-1.253.25-2.02-1.873.560.45NANANANANANANANANANANANANA
Held To Maturity Securities Continuous Unrealized Loss Position Fair Value 2003.432033.372072.321991.662126.842187.512178.732232.092376.962312.20822.76730.97310.86322.0946.858.5615.413.5097.9360.2770.12139.37188.45208.38204.80210.54170.19107.2096.52162.71136.5237.871.9265.06153.4992.16150.3422.43143.57192.02197.68203.56261.4612.835.094.93NANANANA11.3310.1837.26NANANANA
Debt Securities Held To Maturity Excluding Accrued Interest After Allowance For Credit Loss 2432.942465.132490.852518.772553.842584.082613.652676.412722.472500.981156.101083.32852.40NA420.36NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Held To Maturity Securities Debt Maturities Next Rolling Twelve Months Fair Value 2.691.191.201.201.191.201.205.205.225.265.321.711.721.731.74NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Held To Maturity Securities Debt Maturities Rolling After Ten Years Fair Value 184.03186.47193.93180.88200.35210.02211.37221.64243.11262.06241.77244.44232.87210.49189.97NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Held To Maturity Securities Debt Maturities Rolling Year Six Through Ten Fair Value 120.21120.81117.42104.28105.64100.58112.52101.47103.3898.18105.21103.0597.2034.527.96NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Held To Maturity Securities Debt Maturities Rolling Year Two Through Five Fair Value 41.7643.3643.7143.2644.0044.7217.9114.0714.727.999.5514.8815.7615.9016.06NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Held To Maturity Securities Continuous Unrealized Loss Position Twelve Months Or Longer Fair Value 1981.642019.712062.491965.302042.182076.971560.451089.53477.92309.6223.7927.770.12NA1.35NA1.381.9149.9257.6870.12139.37174.8194.9979.2062.6365.8718.87NANA0.00NA1.4112.8913.1311.9819.366.2517.052.802.961.64NANANANANANANANA0.36NA1.94NANANANA
Held To Maturity Securities Continuous Unrealized Loss Position Less Than Twelve Months Fair Value 21.7913.659.8326.3684.66110.55618.281142.561899.032002.58798.97703.20310.74322.0945.508.5614.031.5948.012.600.000.0013.64113.38125.60147.91104.3288.3396.52162.71136.5237.870.5152.17140.3680.17130.9816.18126.51189.22194.72201.91261.4612.835.094.93NANANANA10.9710.1835.32NANANANA

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Time Deposit Maturities Year One NANA3495.19NANANA1251.48NANANA1237.10NANANA1418.81NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Deposits 22982.1223332.0123310.6122857.8722251.9922004.6719876.5120321.1420873.0821056.1518241.1816865.4216327.7715993.2215232.3614603.3812702.0811034.9310897.2410756.5210591.2710534.3110534.5110229.489966.099993.449807.709127.388735.748752.098637.568441.607857.497960.327881.097905.016807.946437.936326.516240.736163.556247.546201.516112.916011.836025.855952.145822.705822.476000.546097.986005.316183.226597.756469.175998.646329.51

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Long Term Debt 324.89324.85324.82324.79324.75324.73324.66324.51324.37324.23247.36247.14261.92311.59326.96326.70311.63212.85212.66240.25247.95257.26267.19285.13308.43325.95120.55135.71175.36175.24175.08174.96164.07163.96165.62165.62113.90113.90129.87129.87129.87129.87129.87129.87124.84124.83124.81120.28120.27120.25120.22120.21150.19150.17150.15150.13150.11

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Stockholders Equity 3342.633300.113261.533183.823105.593078.122700.672634.712651.292695.012222.242122.362086.292031.082007.531967.261771.641640.611635.691605.421566.331508.161457.551401.881379.111356.761303.331220.641132.641101.541075.731079.291059.741033.721018.281013.14827.23763.71739.58736.42721.97703.73795.72852.22829.30592.22581.40585.25576.00579.54575.49848.22859.98586.04635.51662.48904.42
Common Stock Value 119.17119.14119.01118.98115.27115.15106.22106.16106.03106.0389.3586.5686.6786.7886.6786.6178.3378.2879.0178.9779.0879.0379.2379.2079.1479.1277.5873.4070.9870.9770.9070.8669.8666.2666.2063.1954.4150.2350.1850.1750.0650.0146.2445.2243.3643.0642.4242.3941.7341.6941.6541.6041.5520.9018.9418.8918.86
Additional Paid In Capital 2705.342702.812699.112697.672610.522606.402306.372304.512304.612302.191721.011631.711636.881640.581639.001637.471480.461478.721496.641495.271498.741494.401499.581498.201497.521496.311451.811341.351277.821275.951275.851274.911279.381286.881286.361284.881123.731081.111080.511091.561091.781091.701078.681077.541057.931059.221057.951057.001056.821056.131054.941052.691051.61738.96741.24740.15739.26
Retained Earnings Accumulated Deficit 652.24614.61581.22596.62577.32542.61508.84452.79396.97354.41330.65298.50244.01192.19136.8794.9464.9954.2140.155.59-29.12-59.57-90.42-122.68-154.29-181.88-209.90-192.13-212.61-234.38-251.86-273.31-293.42-313.65-330.88-344.75-358.29372.93-387.57402.77418.58-433.13-448.09-461.09-473.53-700.44-709.15-711.37-718.90-722.36-730.86-485.45-476.23-732.39-335.57-316.59-77.59
Accumulated Other Comprehensive Income Loss Net Of Tax -234.54-236.63-239.19-332.50-305.91-294.44-329.49-337.14-264.19-175.34-26.48-1.9311.674.6337.7141.1940.5518.878.3914.266.78-15.99-41.59-63.01-52.77-46.19-25.24-10.68-11.62-18.96-26.48-0.34-4.00-17.76-25.45-15.13-16.9710.68-18.7917.7216.02-18.77-19.84-24.16-13.79-22.82-23.64-16.34-17.11-9.06-3.3126.3130.3314.9531.0840.4744.73

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Net Cash Provided By Used In Operating Activities 105.0988.8121.7787.1794.9390.0998.91160.99146.93200.4876.41120.45127.7934.66105.0637.9926.43-10.7957.8247.4212.8035.8969.8283.7943.9072.4960.9349.4435.0262.5755.0654.5927.872.39NA46.1029.0027.4938.8723.0912.9227.0229.3256.7951.9553.6043.8646.8959.1733.1536.5643.8574.2530.802.2388.01NA
Net Cash Provided By Used In Investing Activities -124.76-122.51-160.92161.10-344.76181.29-176.54-309.94-631.34-902.37-249.56-215.76-303.81-1037.27-154.19-275.15-1066.23-84.9837.1058.89-45.49112.72-189.24-46.45-160.8137.02-45.31122.42-110.24-12.38-483.2663.01-116.56-195.50NA5.52-109.87-120.39-76.10-209.1125.7521.96-194.51-105.84-94.07-88.38-135.12-52.07142.68-57.51-47.6386.19-352.96-83.14-95.80203.54NA
Net Cash Provided By Used In Financing Activities -379.41-8.24383.52-199.50182.89-140.56240.47-582.74-206.55290.04673.87493.71261.30728.10612.12-46.161848.26101.0759.22-21.02-17.03-150.38134.71-41.7481.02-71.5351.81-158.2177.43-36.56419.39-99.08113.52135.57NA-49.57100.1085.9113.83162.03-11.95-64.54129.9652.6055.6730.66120.78-77.65-324.9973.5390.27-211.01-430.73492.52466.01-383.03NA

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Net Cash Provided By Used In Operating Activities 105.0988.8121.7787.1794.9390.0998.91160.99146.93200.4876.41120.45127.7934.66105.0637.9926.43-10.7957.8247.4212.8035.8969.8283.7943.9072.4960.9349.4435.0262.5755.0654.5927.872.39NA46.1029.0027.4938.8723.0912.9227.0229.3256.7951.9553.6043.8646.8959.1733.1536.5643.8574.2530.802.2388.01NA
Net Income Loss 66.6162.6314.0947.8763.2962.3081.4581.1666.8448.0252.0273.8270.2673.7159.5047.6125.1031.8849.0148.3644.0944.2645.1443.6839.6337.66-11.9227.9528.2723.5227.2225.8725.2722.3018.2117.8917.8117.6718.2517.6216.3615.4015.9115.50229.9611.775.2610.576.5011.53-85.67-6.207.62-237.34-173.10-236.41-59.53
Deferred Income Tax Expense Benefit -2.254.06-8.269.05-2.508.104.861.702.052.31-0.506.675.459.172.482.54-3.651.292.7610.810.680.66-3.7113.5512.5610.2247.7616.1216.6319.0614.4215.8815.8713.559.809.989.858.6710.119.408.949.788.408.93NANANANANANANANANANANANANA
Share Based Compensation 2.592.401.842.302.312.482.061.792.372.491.741.671.631.511.951.681.762.491.681.684.021.991.981.801.131.151.471.211.831.321.241.430.910.921.061.171.190.990.991.091.111.120.880.810.730.630.560.470.360.580.660.730.210.550.570.46NA

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Net Cash Provided By Used In Investing Activities -124.76-122.51-160.92161.10-344.76181.29-176.54-309.94-631.34-902.37-249.56-215.76-303.81-1037.27-154.19-275.15-1066.23-84.9837.1058.89-45.49112.72-189.24-46.45-160.8137.02-45.31122.42-110.24-12.38-483.2663.01-116.56-195.50NA5.52-109.87-120.39-76.10-209.1125.7521.96-194.51-105.84-94.07-88.38-135.12-52.07142.68-57.51-47.6386.19-352.96-83.14-95.80203.54NA
Payments To Acquire Property Plant And Equipment 17.8613.7113.3315.3521.2122.6016.409.539.467.316.755.1712.072.4912.472.341.062.604.412.652.1911.693.174.493.856.117.023.488.283.403.663.804.815.103.342.143.291.771.791.331.320.620.613.042.492.000.890.650.971.610.771.171.673.602.071.46NA

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Net Cash Provided By Used In Financing Activities -379.41-8.24383.52-199.50182.89-140.56240.47-582.74-206.55290.04673.87493.71261.30728.10612.12-46.161848.26101.0759.22-21.02-17.03-150.38134.71-41.7481.02-71.5351.81-158.2177.43-36.56419.39-99.08113.52135.57NA-49.57100.1085.9113.83162.03-11.95-64.54129.9652.6055.6730.66120.78-77.65-324.9973.5390.27-211.01-430.73492.52466.01-383.03NA
Payments Of Dividends Common Stock 27.7627.7327.7326.8626.8223.6723.6322.5622.5518.1517.6016.7216.7415.8515.8514.3114.3014.4513.6513.6512.8712.8812.0712.049.637.887.476.496.495.765.760.005.045.044.324.313.163.030.000.00NANANANANANANANANANANANANANANANANA

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Revenues 233.02225.84165.74204.26213.92219.90223.41216.30206.76179.68175.38192.17187.81189.05183.86155.34116.00122.23143.32145.27139.06133.30135.82134.49130.02121.88118.24109.35108.03104.83106.16105.6598.7293.7694.7583.0277.3671.1270.9668.9766.5263.4966.0265.1122.0156.1256.4155.2251.2658.8057.2934.3661.42-122.2036.0821.8611.21
Revenue From Contract With Customer Excluding Assessed Tax 233.02225.84165.74204.26213.92219.90223.41216.30206.76179.68175.38192.17187.81189.05183.86155.34116.00122.23143.32145.27139.068.459.179.11130.028.938.778.22108.03104.83-256.01105.6598.7293.7694.7583.0277.3671.1270.9668.9766.5263.4966.0265.1122.0156.1256.4155.2251.2658.8057.2934.3661.42-122.2036.0821.8611.21

Plots across concepts


IncomeStatement
Net Income Loss
Expenses
Income Tax Expense Benefit
Balance Sheet
Operating Lease Right Of Use Asset
Assets
Equity Securities Fv Ni
NonCurrent Assets
Operating Lease Right Of Use Asset
PropertyPlantAndEquipmentNet
Accumulated Depreciation Depletion And Amortization Property Plant And Equipment
Liabilities
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Stockholders Equity
Accumulated Other Comprehensive Income Loss Net Of Tax
Per Share
Common Stock Dividends Per Share Declared
CashFlow
Net Cash Provided By Used In Financing Activities
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Share Based Compensation
NetCashProvidedByUsedInInvestingActivities
Net Cash Provided By Used In Investing Activities
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Weighted Average Number Of Shares Outstanding Basic
LesseeOperatingLeaseLiabilityPaymentsDue
Lessee Operating Lease Liability Undiscounted Excess Amount
AssetsBanks
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Line plots across dimensions of each concept