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In millions, except per share items | Dec-31-22 | Dec-31-21 | Dec-31-20 | Dec-31-19 | Dec-31-18 | Dec-31-17 | Dec-31-16 | Dec-31-15 |
| 10-K | 10-K | 10-K | 10-K | 10-K | 10-K | 10-K | 10-K |
Assets |
Cash and equivalents | 436.1 | 379.8 | 230.8 | 251.6 | 84.4 | 149.0 | 234.8 | 71.6 |
Investment securities | | | | 997.3 | 262.7 | 228.1 | | |
Total investments | 436.1 | 379.8 | 230.8 | 1,248.9 | 347.1 | 377.2 | 234.8 | 71.6 |
Loans, net | | | | | 5,072.5 | 4,441.4 | 983.3 | 1,641.1 |
Real estate owned | | | 2.3 | 6.0 | | 0.4 | 0.7 | 0.5 |
Property, plant, and equipment, net | 108.8 | 109.3 | 115.1 | 118.5 | 78.4 | 75.3 | 17.4 | 17.4 |
Intangibles | 53.2 | 66.0 | 61.7 | 72.3 | 15.9 | 20.4 | 2.2 | 2.4 |
Goodwill | 404.5 | 403.8 | 370.8 | 370.8 | 161.4 | 159.5 | 26.9 | 26.9 |
Long-term investments | 1.0 | 1.0 | 1.0 | | | | | |
Other assets | | | | | | -2,128.6 | 143.3 | -720.4 |
Total assets | 12,154.4 | 9,757.2 | 8,820.9 | 7,954.9 | 3,208.6 | 2,945.6 | 1,408.5 | 1,039.6 |
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Non-interest bearing checking | 2,640.6 | 2,510.7 | 2,097.1 | 1,556.5 | 626.3 | 612.8 | 327.6 | 301.4 |
Time certificates of deposit | 2,086.6 | 1,576.6 | 1,457.3 | 1,682.9 | 683.0 | 465.3 | | |
Total deposits | 9,123.2 | 7,363.6 | 6,512.8 | 5,894.4 | 2,622.4 | 2,278.6 | 1,119.6 | 868.4 |
Short-term debt | 0.0 | 4.1 | 2.2 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 |
Short-term debt | | 4.1 | 2.2 | | | | | |
Long-term debt | 1,403.8 | 1,005.3 | 1,040.5 | 825.8 | 44.7 | 102.9 | 38.3 | |
Other liabilities | | | | | | 70.1 | 8.6 | 905.7 |
Total liabilities | 10,704.6 | 8,442.2 | 7,617.5 | 6,764.1 | 2,677.9 | 2,456.7 | 1,169.4 | 907.5 |
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Shareholders' equity [+] | 1,449.8 | 1,315.1 | 1,203.4 | 1,190.8 | 530.6 | 488.9 | 239.1 | 132.0 |
Paid-in capital | 1,306.9 | 1,142.8 | 1,126.4 | 1,117.9 | 449.4 | 445.5 | 211.2 | 115.7 |
Retained earnings | 379.3 | 275.3 | 172.2 | 147.9 | 84.0 | 44.6 | 29.3 | 16.7 |
Treasury stock | | -167.6 | -152.1 | -94.6 | -0.1 | -0.1 | -0.1 | -0.1 |
Tangible shareholders' equity | 992.1 | 845.3 | 770.8 | 747.7 | 353.3 | 309.0 | 210.0 | 102.8 |
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