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Common Stock Value 2.802.802.792.792.772.772.772.762.742.732.722.722.712.692.692.472.472.462.462.432.432.422.412.402.392.392.392.38
Earnings Per Share Basic 1.860.660.901.071.101.061.040.861.071.281.160.891.120.850.090.040.761.050.900.770.920.990.790.690.210.780.550.68
Earnings Per Share Diluted 1.860.660.901.061.091.061.030.861.071.271.150.891.110.840.090.040.751.040.880.750.900.970.770.680.200.760.540.66

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Revenue From Contract With Customer Excluding Assessed Tax 1.613.502.722.432.203.382.572.302.113.192.662.502.303.222.672.422.123.232.902.442.233.211.951.971.652.171.912.17
Revenues 1.613.502.722.432.203.382.572.302.113.192.662.502.303.222.672.422.123.232.902.442.233.211.951.971.652.171.912.17
Interest And Fee Income Loans And Leases 23.0221.9421.6020.8920.0217.9916.8315.7219.2818.1018.5117.0717.2616.8516.1014.5515.0415.6415.1414.3614.0413.6813.2012.3611.8311.6610.6510.25
Insurance Commissions And Fees 1.613.502.722.432.203.382.572.302.113.192.662.502.303.222.672.422.123.232.902.442.233.211.951.971.652.171.912.17
Marketing And Advertising Expense 0.300.350.410.160.120.420.440.180.330.430.410.260.230.500.120.270.420.230.210.170.360.260.330.120.380.310.220.19
Interest Expense 11.2610.048.316.043.171.301.041.021.061.141.231.371.742.122.143.053.243.223.193.032.942.602.051.911.631.481.341.27
Interest Income Expense Net 13.9514.2615.6817.3219.2119.1918.0516.5019.6818.1618.3516.6016.4315.6414.9312.7812.7913.6213.1312.5112.3712.0912.2011.4511.1611.1010.129.64
Income Tax Expense Benefit 5.741.281.391.791.811.971.881.501.802.412.041.630.820.610.090.040.991.781.241.22-0.200.351.150.982.210.740.861.40
Income Taxes Paid Net 1.011.451.264.970.001.530.601.200.701.203.700.191.001.850.000.101.521.20NANA-2.84-1.05NANA1.30NANANA
Comprehensive Income Net Of Tax 26.59-5.170.669.466.59-9.66-6.24-11.904.425.528.111.045.443.801.752.133.025.755.925.095.184.103.142.000.433.642.653.40
Net Income Loss Available To Common Stockholders Basic 10.173.624.935.806.045.865.734.755.906.986.314.856.034.540.470.203.755.164.383.724.454.793.793.320.993.722.623.15
Interest Income Expense After Provision For Loan Loss 13.6613.7515.8017.9818.2917.8617.7916.2819.2819.6219.1116.2816.5613.7614.349.7812.9114.0513.0411.9712.6511.8311.5410.6910.5610.939.7110.08
Noninterest Expense 16.3014.4114.1714.5014.9015.7914.7814.4616.2915.3915.1814.3714.5114.4718.0112.8712.1712.2812.1511.2211.4311.4610.2310.1710.399.849.329.05
Noninterest Income 18.555.564.704.114.465.774.614.434.715.164.424.574.805.864.243.343.995.164.734.203.044.763.643.793.033.373.093.52

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Assets 2108.662174.742154.962148.272178.512129.702208.352240.732210.642152.062160.202144.262044.122056.992065.941524.811460.231455.731471.121456.181388.211380.921346.091353.701295.631220.151182.851139.66
Liabilities 1930.442023.811995.481990.022024.521979.852045.682071.532026.751973.221984.511977.291875.211894.111903.941376.711311.781310.861329.831321.751256.561255.261222.521233.831177.291102.661067.281027.03
Liabilities And Stockholders Equity 2108.662174.742154.962148.272178.512129.702208.352240.732210.642152.062160.202144.262044.122056.992065.941524.811460.231455.731471.121456.181388.211380.921346.091353.701295.631220.151182.851139.66
Stockholders Equity 178.22150.94159.48158.25153.99149.85162.68169.20183.89178.83175.69166.97168.91162.89162.00148.10148.45144.87141.29134.44131.65125.66123.58119.87118.34117.49115.56112.63

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Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 23.4725.2925.5316.1023.0521.2198.76158.68244.78191.72141.68116.2297.60NANANA38.86NANANA39.91NANANANANANANA
Available For Sale Securities Debt Securities 275.68334.46351.60365.93364.33369.14395.62385.94305.96253.4988.5379.9975.6269.8245.0438.2431.5133.0939.2759.3356.1057.8659.7172.4157.4358.6359.4351.63

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Property Plant And Equipment Gross 27.93NANANA28.59NANANA28.07NANANA39.27NANANA34.44NANANA29.90NANANA28.82NANANA
Accumulated Depreciation Depletion And Amortization Property Plant And Equipment 12.5412.3611.9211.4811.6011.2210.8510.7310.2821.3420.8920.4419.9621.8521.3921.0020.6820.3620.0419.7119.4219.1018.8018.5018.2517.9517.6417.33
Amortization Of Intangible Assets 0.070.100.100.100.100.100.100.100.130.140.140.140.130.140.130.130.110.110.110.110.110.110.030.030.030.030.030.03
Property Plant And Equipment Net 15.4015.8516.1916.5217.0017.1017.2817.5717.7918.8318.9119.0719.3018.7316.7913.9513.7513.9510.4510.5810.4810.4510.3310.4310.5610.7410.9611.06
Goodwill 1.7712.7012.7012.7012.7012.7012.7012.7012.7012.7112.7112.7112.7112.7112.7110.9510.5010.5210.5210.5210.50NANANA8.10NANANA
Intangible Assets Net Excluding Goodwill 0.090.931.031.131.231.331.431.531.631.831.972.102.24NANANA2.02NANANANANANANANANANANA
Finite Lived Intangible Assets Net 0.09NANANA1.23NANANA1.63NANANA2.24NANANA2.02NANANA2.47NANANA0.45NANANA
Held To Maturity Securities Accumulated Unrecognized Holding Loss 0.070.100.090.090.140.160.080.040.00NANA0.01NANANANA0.020.010.000.010.020.040.040.040.070.020.020.03
Held To Maturity Securities Fair Value 1.992.072.153.616.817.417.622.983.184.753.404.704.275.086.572.962.392.541.891.901.671.344.614.705.264.471.361.39
Held To Maturity Securities 2.062.172.243.716.957.577.703.023.174.733.374.674.205.006.472.852.392.521.861.901.691.374.644.725.334.491.371.41
Available For Sale Debt Securities Amortized Cost Basis 330.73411.17416.40424.94428.22433.21438.67412.74310.23255.2489.2782.3974.9869.0144.0037.4231.2432.6838.8759.3756.7759.3060.6973.1157.5858.4559.1651.27
Held To Maturity Securities Accumulated Unrecognized Holding Gain 0.00NANANANANANA0.000.020.020.030.030.070.090.100.120.020.030.030.020.010.010.010.010.000.010.010.00
Held To Maturity Securities Accumulated Unrecognized Holding Loss 0.070.100.090.090.140.160.080.040.00NANA0.01NANANANA0.020.010.000.010.020.040.040.040.070.020.020.03
Held To Maturity Securities Debt Maturities After One Through Five Years Fair Value 0.280.300.30NA0.410.460.49NA0.52NA0.530.470.520.600.660.710.730.891.001.000.810.830.870.670.660.480.280.28
Held To Maturity Securities Debt Maturities Within One Year Fair Value 1.391.471.53NA6.066.626.75NA2.20NA2.403.743.233.955.351.661.141.120.730.730.690.273.433.474.053.390.170.17
Held To Maturity Securities Debt Maturities After Five Through Ten Years Fair Value 0.320.300.32NA0.340.340.31NA0.39NA0.390.050.050.050.060.060.050.050.060.090.090.160.220.470.460.510.810.84

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Time Deposit Maturities Year One 296.20NANANA164.45NANANA125.87NANANA228.28NANANANANANANANANANANANANANANA
Deposits 1718.761805.411786.621849.911771.681873.751968.331986.821937.041876.041883.801871.941771.411780.981809.101327.601267.441258.811282.911275.721215.061215.621182.471134.431051.231032.321019.06977.98

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Stockholders Equity 178.22150.94159.48158.25153.99149.85162.68169.20183.89178.83175.69166.97168.91162.89162.00148.10148.45144.87141.29134.44131.65125.66123.58119.87118.34117.49115.56112.63
Common Stock Value 2.802.802.792.792.772.772.772.762.742.732.722.722.712.692.692.472.472.462.462.432.432.422.412.402.392.392.392.38
Additional Paid In Capital Common Stock 82.7182.0281.7881.2181.0380.4480.0779.4078.8078.1677.2776.6776.3975.8275.6263.6863.3062.7462.3561.4561.2360.4260.2259.6759.4459.0258.8258.54
Retained Earnings Accumulated Deficit 138.63128.47128.47123.53123.36117.32114.98109.37108.02102.1398.4392.1290.5284.5083.0782.6085.2781.5378.9274.5473.3468.9066.3362.5359.9258.3056.4953.87
Accumulated Other Comprehensive Income Loss Net Of Tax -42.27-58.69-49.90-45.62-49.28-49.82-34.30-22.32-5.67-4.19-2.73-4.53-0.72-0.130.62-0.66-2.58-1.85-2.44-3.98-5.35-6.08-5.38-4.74-3.42-2.22-2.14-2.17
Adjustments To Additional Paid In Capital Sharebased Compensation Requisite Service Period Recognition Value 0.370.240.230.310.250.330.290.330.310.200.200.230.210.210.200.260.240.240.250.200.190.200.210.190.160.170.160.14

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Net Cash Provided By Used In Operating Activities 6.143.425.830.319.298.507.331.307.765.082.385.29-1.598.92-6.326.776.454.546.004.099.286.685.383.792.566.182.682.06
Net Cash Provided By Used In Investing Activities 92.03-27.62-0.5925.55-46.99-16.02-39.60-133.96-9.3157.7315.18-86.229.68-13.49-155.49-54.09-3.34-9.32-21.70-35.524.52-27.452.54-62.18-71.13-35.93-58.97-20.48
Net Cash Provided By Used In Financing Activities -100.0023.964.19-32.8139.55-70.03-27.6446.5654.61-12.777.9099.55-14.12-12.93230.9760.431.40-20.516.8360.03-2.0132.12-11.5957.5071.8532.1641.7035.57

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Net Cash Provided By Used In Operating Activities 6.143.425.830.319.298.507.331.307.765.082.385.29-1.598.92-6.326.776.454.546.004.099.286.685.383.792.566.182.682.06
Deferred Income Tax Expense Benefit -1.04-0.140.030.25-0.100.020.070.260.551.121.82-1.970.87-0.33-1.39-1.00-0.37-0.16-0.060.010.080.130.140.142.320.240.220.37
Share Based Compensation 0.210.240.230.310.250.330.290.330.310.200.200.230.210.210.200.260.240.240.250.200.190.200.210.190.160.170.160.14

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Net Cash Provided By Used In Investing Activities 92.03-27.62-0.5925.55-46.99-16.02-39.60-133.96-9.3157.7315.18-86.229.68-13.49-155.49-54.09-3.34-9.32-21.70-35.524.52-27.452.54-62.18-71.13-35.93-58.97-20.48
Payments To Acquire Property Plant And Equipment -0.060.100.120.360.350.270.160.230.130.370.300.231.952.390.990.490.133.900.190.430.350.390.200.160.120.090.210.06

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Net Cash Provided By Used In Financing Activities -100.0023.964.19-32.8139.55-70.03-27.6446.5654.61-12.777.9099.55-14.12-12.93230.9760.431.40-20.516.8360.03-2.0132.12-11.5957.5071.8532.1641.7035.57
Payments Of Dividends Common Stock 3.630.00NANA3.530.00NANA3.280.00NANA3.120.00NANA2.560.00NANA2.230.00NANA1.920.00NANA

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Revenues 1.613.502.722.432.203.382.572.302.113.192.662.502.303.222.672.422.123.232.902.442.233.211.951.971.652.171.912.17
Commercial Property And Casualty Insurance Commissions 0.511.671.160.890.781.711.030.790.741.431.020.800.761.440.950.870.751.381.040.840.881.330.610.720.581.090.570.67
Employee Benefits Sales Commissions 0.120.280.170.190.200.210.210.230.210.230.220.240.180.240.370.380.270.290.290.290.190.240.180.250.130.200.150.05
Other Insurance Related Revenue 0.030.030.030.050.040.020.030.040.030.030.030.060.040.020.040.040.030.030.020.030.060.030.020.030.040.010.020.02
Personal Property And Casualty Insurance Commissions 0.610.981.000.740.810.900.930.720.770.860.920.740.780.890.970.750.800.861.000.750.820.920.730.600.590.640.770.61
Profit Sharing And Contingent Revenue 0.170.400.200.430.190.410.190.370.170.410.220.400.340.380.150.210.110.430.250.260.120.490.140.160.150.030.180.57
Wealth Management And Other Financial Services 0.160.150.160.130.170.140.180.140.130.160.170.180.110.160.120.120.110.140.140.120.100.150.170.140.100.110.100.11
Revenue From Contract With Customer Excluding Assessed Tax 1.613.502.722.432.203.382.572.302.113.192.662.502.303.222.672.422.123.232.902.442.233.211.951.971.652.171.912.17
Commercial Property And Casualty Insurance Commissions 0.511.671.160.890.781.711.030.790.741.431.020.800.761.440.950.870.751.381.040.840.881.330.610.720.581.090.570.67
Employee Benefits Sales Commissions 0.120.280.170.190.200.210.210.230.210.230.220.240.180.240.370.380.270.290.290.290.190.240.180.250.130.200.150.05
Other Insurance Related Revenue 0.030.030.030.050.040.020.030.040.030.030.030.060.040.020.040.040.030.030.020.030.060.030.020.030.040.010.020.02
Personal Property And Casualty Insurance Commissions 0.610.981.000.740.810.900.930.720.770.860.920.740.780.890.970.750.800.861.000.750.820.920.730.600.590.640.770.61
Profit Sharing And Contingent Revenue 0.170.400.200.430.190.410.190.370.170.410.220.400.340.380.150.210.110.430.250.260.120.490.140.160.150.030.180.57
Wealth Management And Other Financial Services 0.160.150.160.130.170.140.180.140.130.160.170.180.110.160.120.120.110.140.140.120.100.150.170.140.100.110.100.11

Plots across concepts


IncomeStatement
Revenues
Expenses
Income Tax Expense Benefit
Balance Sheet
Intangible Assets Net Excluding Goodwill
Assets
Intangible Assets Net Excluding Goodwill
NonCurrent Assets
Intangible Assets Net Excluding Goodwill
PropertyPlantAndEquipmentNet
Accumulated Depreciation Depletion And Amortization Property Plant And Equipment
Liabilities
Operating Lease Liability
Stockholders Equity
Accumulated Other Comprehensive Income Loss Net Of Tax
CashFlow
Net Cash Provided By Used In Financing Activities
NetCashProvidedByUsedInOperatingActivities
Share Based Compensation
NetCashProvidedByUsedInInvestingActivities
Payments To Acquire Property Plant And Equipment
LesseeOperatingLeaseLiabilityPaymentsDue
Lessee Operating Lease Liability Undiscounted Excess Amount
FiniteLivedIntangibleAssets
Finite Lived Intangible Assets Accumulated Amortization
BanksAndOrInsurance
Securities Sold Under Agreements To Repurchase
AssetsBanks
Interest Bearing Deposits In Banks
LiabilitiesBanks
Deposits

Line plots across dimensions of each concept