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Filing updates from : 2025-04-23
Reporting Period - quarter ended : 2024-12-31
Report
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Label
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Original Value
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Updated Value
|
|
(USD, in thousands) |
HC
|
LESS: Allowance for credit losses on loans and leases |
31,944 |
44,853 |
HC
|
Loans and leases, net of unearned income and allowance for loan and lease losses |
6,304,799 |
6,291,890 |
HC
|
Other assets (from Schedule HC-F) |
237,996 |
250,905 |
HC
|
Common stock (par value) |
25,032 |
47,713 |
HC
|
Other equity capital components |
0 |
(22,681) |
HCF
|
Other |
161,885 |
174,794 |
HCF
|
Total |
237,996 |
250,905 |
HCR
|
Adjusted allowances for credit losses(AACL) includable in tier 2 capital |
33,972 |
46,881 |
HCR
|
Tier 2 capital before deductions |
33,972 |
46,881 |
HCR
|
Tier 2 capital |
33,972 |
46,881 |
HCR
|
Total capital |
840,138 |
853,047 |
HCR
|
Total risk-weighted assets (from Schedule HC-R, Part II, item 31) |
5,809,237 |
5,822,146 |
HCR
|
Common equity tier 1 capital ratio |
13.8773 |
13.8465 |
HCR
|
Tier1 capital ratio |
13.8773 |
13.8465 |
HCR
|
Total capital ratio |
14.4621 |
14.6518 |
HCR
|
Capital conservation buffer |
6.4621 |
6.6518 |
HCR
|
LESS: Allowance for credit losses on loans and leases (Totals From Schedule HC) |
31,944 |
44,853 |
HCR
|
LESS: Allowance for credit losses on loans and leases (Adjustments to Totals) |
31,944 |
44,853 |
HCR
|
All other assets (Totals From Schedule HC) |
349,760 |
362,669 |
HCR
|
All other assets (100%) |
280,995 |
293,904 |
HCR
|
Total balance sheet assets (Adjustments to Totals) |
(15,071) |
(27,980) |
HCR
|
Total balance sheet assets (100%) |
5,297,210 |
5,310,119 |
HCR
|
Total assets, derivatives, off-balance sheet items, and other items subject to risk weighting by risk-weight category (100%) |
5,298,908 |
5,311,817 |
HCR
|
Risk-weighted assets by risk-weight category (100%) |
5,298,908 |
5,311,817 |
HCR
|
Risk-weighted assets base for purposes of calculating the adjusted allowance for credit losses (AACL) 1.25 percent threshold |
5,807,447 |
5,822,146 |
HCR
|
Risk-weighted assets before deductions for excess AACL and allocated risk transfer risk reserve |
5,809,237 |
5,822,146 |
HCR
|
Total risk-weighted assets |
5,809,237 |
5,822,146 |
HI
|
Provision for loan and lease losses |
27,342 |
38,373 |
HI
|
Other noninterest income |
146,425 |
157,453 |
HI
|
Total noninterest income |
146,485 |
157,513 |
HI
|
Other noninterest expense |
154,690 |
154,687 |
HI
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Total noninterest expense |
315,499 |
315,496 |
HIBI
|
Other consumer loans (includes single payment, installment, all student loans, and revolving credit plans other than credit cards) (Recoveries) |
0 |
1,878 |
HIBI
|
Total (Recoveries) |
549 |
2,427 |
HIBII
|
Recoveries (Loans and Leases Held for Investment) |
549 |
2,427 |
HIBII
|
Provision for credit losses (Loans and Leases Held for Investment) |
28,938 |
39,969 |
HIBII
|
Balance end of current period (Loans and Leases Held for Investment) |
31,944 |
44,853 |
HIC
|
Other consumer loans (Allowance Balance) |
1,229 |
14,138 |
HIC
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Total (Allowance Balance) |
31,944 |
44,853 |
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