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Filing updates from : 2025-03-28
Reporting Period - quarter ended : 2024-12-31
Report
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Label
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Original Value
|
Updated Value
|
|
(USD, in thousands) |
RC
|
Loans and leases, net of unearned income |
4,314,546 |
4,298,945 |
RC
|
LESS: Allowance for loan and lease losses |
75,277 |
75,741 |
RC
|
Loans and leases, net of unearned income and allowance |
4,239,269 |
4,223,204 |
RC
|
Investments in unconsolidated subsidiaries and associated companies (from Schedule RC-M) |
51,976 |
51,951 |
RC
|
Other assets (from Schedule RC-F) |
633,718 |
627,054 |
RC
|
Total assets |
6,225,865 |
6,203,111 |
RC
|
Other liabilities (from Schedule RC-G) |
209,321 |
205,281 |
RC
|
Total liabilities |
5,075,886 |
5,071,846 |
RC
|
Retained earnings |
8,636 |
(2,382) |
RC
|
Accumulated other comprehensive income******** |
(12,642) |
(20,338) |
RC
|
Total bank equity capital |
1,151,864 |
1,133,150 |
RC
|
Total equity capital |
1,149,979 |
1,131,265 |
RC
|
Total liabilities and equity capital |
6,225,865 |
6,203,111 |
RCA
|
Cash items in process of collection and unposted debits |
418 |
417 |
RCA
|
Total |
705,057 |
705,056 |
RCCI
|
Secured by first liens |
477,249 |
477,248 |
RCCI
|
Loans secured by other nonfarm nonresidential properties |
670,497 |
654,895 |
RCCI
|
Commercial and industrial loans |
1,655,626 |
1,635,343 |
RCCI
|
To U.S. addressees (domicile) ( To Be Completed by Banks with $300 Million or More in Total Assets*) |
1,567,587 |
1,547,304 |
RCCI
|
Loans to nondepository financial institutions |
681,450 |
701,734 |
RCCI
|
Other loans |
46,021 |
46,022 |
RCCI
|
Total loans and leases held for investment and held for sale |
4,316,084 |
4,300,483 |
RCF
|
All other assets (itemize and describe amounts greater than $100,000 that exceed 25% of this item) |
208,809 |
202,145 |
RCF
|
Prepaid expenses (excluding prepaid assessments) |
55,557 |
44,934 |
RCF
|
Accounts receivable |
0 |
39,347 |
RCF
|
Total |
633,718 |
627,054 |
RCG
|
Other expenses accrued and unpaid (includes accrued income taxes payable) |
21,434 |
20,106 |
RCG
|
Net deferred tax liabilities** |
70,051 |
67,339 |
RCG
|
Total |
209,321 |
205,281 |
RCK
|
Total assets***** |
6,141,624 |
6,241,457 |
RCN
|
Loans secured by other nonfarm nonresidential properties ( Nonaccrual) |
179,018 |
163,417 |
RCN
|
Total loans and leases ( Nonaccrual) |
264,359 |
248,758 |
RCN
|
Loans secured by other nonfarm nonresidential properties (Nonaccrual) |
177,743 |
162,142 |
RCN
|
Total loans restructured in troubled debt restructurings included in Schedule RC-N above and not reported in Schedule RC-C, Part I (Nonaccrual) |
200,177 |
184,576 |
RCN
|
Additions to nonaccrual assets during the quarter |
85,386 |
69,785 |
RCO
|
Average consolidated total assets for the calendar quarter |
6,141,624 |
6,241,457 |
RCR
|
Retained earnings |
8,636 |
(2,382) |
RCR
|
Accumulated other comprehensive income (AOCI) |
(12,642) |
(20,338) |
RCR
|
Common equity tier 1 capital before adjustments and deductions |
1,151,864 |
1,133,150 |
RCR
|
LESS: Amounts recorded in AOCI attributed to defined benefit postretirement plans resulting from the initial and subsequent application of the relevant GAAP standards that pertain to such plans (if a gain, report as a positive value: if a loss, report as a negative value) |
1,474 |
(6,222) |
RCR
|
Subtotal (Non-advanced Approaches Institutions) |
1,056,762 |
1,045,744 |
RCR
|
Common equity tier 1 capital (Non-advanced Approaches Institutions) |
1,056,762 |
1,045,744 |
RCR
|
Tier 1 capital |
1,056,762 |
1,045,744 |
RCR
|
Average total consolidated assets |
6,141,624 |
6,241,457 |
RCR
|
Total assets for the leverage ratio |
6,033,880 |
6,133,713 |
RCR
|
Leverage ratio |
17.51 |
17.05 |
RCR
|
Allowance for loan and lease losses includable in tier 2 capital |
79,708 |
79,373 |
RCR
|
Tier 2 capital before deductions |
79,708 |
79,373 |
RCR
|
Tier 2 capital |
79,708 |
79,373 |
RCR
|
Total capital |
1,136,470 |
1,125,117 |
RCR
|
Total risk-weighted assets (from Schedule RC-R, Part II, item 31) |
6,376,545 |
6,348,986 |
RCR
|
Common equity tier 1 capital ratio |
16.57 |
16.47 |
RCR
|
Tier1 capital ratio |
16.57 |
16.47 |
RCR
|
Total capital ratio |
17.82 |
17.72 |
RCR
|
Capital conservation buffer |
9.82 |
9.72 |
RCR
|
Exposures past due 90 days or more or on nonaccrual (Totals From Schedule RC) |
264,358 |
248,758 |
RCR
|
Exposures past due 90 days or more or on nonaccrual (150%) |
224,886 |
209,286 |
RCR
|
All other exposures (Totals From Schedule RC) |
3,613,950 |
3,613,949 |
RCR
|
All other exposures (100%) |
3,248,463 |
3,248,462 |
RCR
|
LESS: Allowance for loan and lease losses (Totals From Schedule RC) |
75,277 |
75,741 |
RCR
|
LESS: Allowance for loan and lease losses (Adjustments to Totals) |
75,277 |
75,741 |
RCR
|
All other assets (Totals From Schedule RC) |
905,981 |
899,292 |
RCR
|
All other assets (Adjustments to Totals) |
107,833 |
107,834 |
RCR
|
All other assets (100%) |
421,133 |
413,333 |
RCR
|
All other assets (400%) |
365,015 |
366,125 |
RCR
|
Total balance sheet assets (Totals From Schedule RC) |
6,225,865 |
6,203,111 |
RCR
|
Total balance sheet assets (Adjustments to Totals) |
21,586 |
21,123 |
RCR
|
Total balance sheet assets (100%) |
3,866,624 |
3,858,823 |
RCR
|
Total balance sheet assets (150%) |
224,886 |
209,286 |
RCR
|
Total balance sheet assets (400%) |
365,015 |
366,125 |
RCR
|
Total assets, derivatives, off-balance sheet items, and other items subject to risk weighting by risk-weight category (100%) |
4,214,633 |
4,206,832 |
RCR
|
Total assets, derivatives, off-balance sheet items, and other items subject to risk weighting by risk-weight category (150%) |
224,886 |
209,286 |
RCR
|
Total assets, derivatives, off-balance sheet items, and other items subject to risk weighting by risk-weight category (400%) |
365,015 |
366,125 |
RCR
|
Risk-weighted assets by risk-weight category (100%) |
4,214,633 |
4,206,832 |
RCR
|
Risk-weighted assets by risk-weight category (150%) |
337,329 |
313,929 |
RCR
|
Risk-weighted assets by risk-weight category (400%) |
1,460,060 |
1,464,500 |
RCR
|
Risk-weighted assets base for purposes of calculating the allowance for loan and lease losses 1.25 percent threshold |
6,376,638 |
6,349,877 |
RCR
|
Risk-weighted assets before deductions for excess allowance of loan and lease losses and allocated risk transfer risk reserve |
6,376,638 |
6,349,877 |
RCR
|
LESS: Excess allowance for loan and lease losses |
93 |
891 |
RCR
|
Total risk-weighted assets |
6,376,545 |
6,348,986 |
RI
|
Provision for loan and lease losses(Institutions that have adopted ASU-2016-13 should report the provisions for credit losses on all financial assets that fall within the scope of the standard) |
6,601 |
22,665 |
RI
|
Salaries and employee benefits |
172,482 |
171,155 |
RI
|
Total noninterest expense |
258,207 |
256,880 |
RI
|
Income (loss) before unrealized holding gains (losses) on equity securities not held for trading, applicable income taxes, and discontinued operations |
56,955 |
42,218 |
RI
|
Income (loss) before applicable income taxes and discontinued operations |
77,139 |
62,402 |
RI
|
Applicable income taxes |
20,065 |
16,347 |
RI
|
Income (loss) before discontinued operations |
57,074 |
46,055 |
RI
|
Net income (loss) attributable to bank and noncontrolling (minority) interests |
57,074 |
46,055 |
RI
|
Net income (loss) attributable to bank |
55,477 |
44,458 |
RIA
|
Net income (loss) attributable to bank |
55,477 |
44,458 |
RIA
|
Other comprehensive income ** |
11,266 |
3,571 |
RIA
|
Total bank equity capital end of current period |
1,151,864 |
1,133,150 |
RIBI
|
Loans secured by other nonfarm nonresidential properties ( Charge offs* ) |
3,148 |
18,748 |
RIBI
|
Total ( Charge offs* ) |
8,262 |
23,862 |
RIBII
|
LESS: Charge offs (Loans and Leases Held for Investment) |
8,262 |
23,862 |
RIBII
|
Provision for credit losses (Loans and Leases Held for Investment) |
7,696 |
23,760 |
RIBII
|
Balance end of current period (Loans and Leases Held for Investment) |
75,277 |
75,741 |
RIC
|
Commercial real estate loans (Amortized Cost) |
1,237,150 |
1,221,549 |
RIC
|
Commercial real estate loans (Allowance Balance) |
23,522 |
23,986 |
RIC
|
Total (Amortized Cost) |
4,136,676 |
4,121,075 |
RIC
|
Total (Allowance Balance) |
75,277 |
75,741 |
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