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Filing updates from : 2025-04-28
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
|
Other assets (from Schedule RC-F) |
587,699 |
592,633 |
RC
|
Total assets |
17,459,582 |
17,464,516 |
RC
|
Other liabilities (from Schedule RC-G) |
263,890 |
268,528 |
RC
|
Total liabilities |
15,957,079 |
15,961,717 |
RC
|
Accumulated other comprehensive income******** |
(159,869) |
(159,573) |
RC
|
Total bank equity capital |
1,502,503 |
1,502,799 |
RC
|
Total equity capital |
1,502,503 |
1,502,799 |
RC
|
Total liabilities and equity capital |
17,459,582 |
17,464,516 |
RCF
|
Equity securities that do not have readily determinable fair values**** |
96,365 |
94,823 |
RCF
|
All other assets (itemize and describe amounts greater than $100,000 that exceed 25% of this item) |
107,697 |
114,173 |
RCF
|
Total |
587,699 |
592,633 |
RCG
|
Other expenses accrued and unpaid (includes accrued income taxes payable) |
38,078 |
35,232 |
RCG
|
Net deferred tax liabilities** |
12,322 |
19,807 |
RCG
|
All other liabilities (itemize and describe amounts greater than $100,000 that exceed 25 percent of this item) |
208,382 |
208,381 |
RCG
|
Total |
263,890 |
268,528 |
RCR
|
Accumulated other comprehensive income (AOCI) |
(159,868) |
(159,572) |
RCR
|
Common equity tier 1 capital before adjustments and deductions |
1,502,503 |
1,502,799 |
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) |
(14,521) |
(14,225) |
RCR
|
Total risk-weighted assets (from Schedule RC-R, Part II, item 31) |
12,255,890 |
12,256,332 |
RCR
|
Residential mortgage exposures (Totals From Schedule RC) |
35,165 |
35,166 |
RCR
|
Residential mortgage exposures (50%) |
34,848 |
34,970 |
RCR
|
Residential mortgage exposures (100%) |
28 |
(93) |
RCR
|
All other assets (Totals From Schedule RC) |
1,046,833 |
1,051,767 |
RCR
|
All other assets (0%) |
8,532 |
12,610 |
RCR
|
All other assets (20%) |
73,971 |
74,413 |
RCR
|
All other assets (100%) |
603,124 |
603,538 |
RCR
|
Total balance sheet assets (Totals From Schedule RC) |
17,459,582 |
17,464,516 |
RCR
|
Total balance sheet assets (0%) |
2,714,631 |
2,718,709 |
RCR
|
Total balance sheet assets (20%) |
1,515,189 |
1,515,631 |
RCR
|
Total balance sheet assets (50%) |
1,292,955 |
1,293,077 |
RCR
|
Total balance sheet assets (100%) |
9,641,977 |
9,642,270 |
RCR
|
Total assets, derivatives, off-balance sheet items, and other items subject to risk weighting by risk-weight category (0%) |
2,850,865 |
2,854,943 |
RCR
|
Total assets, derivatives, off-balance sheet items, and other items subject to risk weighting by risk-weight category (20%) |
1,527,108 |
1,527,550 |
RCR
|
Total assets, derivatives, off-balance sheet items, and other items subject to risk weighting by risk-weight category (50%) |
1,300,120 |
1,300,242 |
RCR
|
Total assets, derivatives, off-balance sheet items, and other items subject to risk weighting by risk-weight category (100%) |
10,627,255 |
10,627,548 |
RCR
|
Risk-weighted assets by risk-weight category (20%) |
305,422 |
305,510 |
RCR
|
Risk-weighted assets by risk-weight category (50%) |
650,060 |
650,121 |
RCR
|
Risk-weighted assets by risk-weight category (100%) |
10,627,255 |
10,627,548 |
RCR
|
Risk-weighted assets base for purposes of calculating the allowance for loan and lease losses 1.25 percent threshold |
12,255,890 |
12,256,332 |
RCR
|
Risk-weighted assets before deductions for excess allowance of loan and lease losses and allocated risk transfer risk reserve |
12,255,890 |
12,256,332 |
RCR
|
Total risk-weighted assets |
12,255,890 |
12,256,332 |
RIA
|
Other comprehensive income ** |
18,017 |
18,313 |
RIA
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Total bank equity capital end of current period |
1,502,503 |
1,502,799 |
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