Annual report pursuant to Section 13 and 15(d)

CONSOLIDATED STATEMENTS OF CASH FLOWS

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CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
CASH FLOWS FROM OPERATING ACTIVITIES:      
Net Income (Loss) $ 90,374 $ 28,147 $ (88,009)
Adjustments to Reconcile Net Income to Net Cash Provided By Operating Activities:      
Depreciation and Amortization of Premises and Equipment 2,123 2,163 2,286
Amortization of Premiums and Accretion of Discounts on Investment Securities, Net 3,470 3,222 1,329
Amortization of Other Intangible Assets 198 700 1,149
Amortization of Servicing Assets 1,067 730 1,033
Share-Based Compensation Expense 478 608 1,013
Provision for Credit Losses 6,000 12,100 122,496
Net Gain on Sales of Investment Securities (1,396) (1,635) (122)
Other-Than-Temporary Loss on Investment Securities 292   790
Deferred Tax (Benefit) Expense (52,342)   3,561
Net Gain on Sales of Loans (4,188) (1,426) (514)
(Gain) Loss on Sales of Other Real Estate Owned (10) 671 196
Valuation Impairment on Other Real Estate Owned 301 488 8,683
Lower of Cost or Fair Value Adjustment for Loans Held for Sale 3,746 2,903  
Gain on Bank-Owned Life Insurance Settlement (163)    
Increase in Cash Surrender Value of Bank-Owned Life Insurance (947) (939) (942)
Origination of Loans Held for Sale (116,829) (60,238) (20,228)
Proceeds from Sales of SBA Loans Guaranteed Portion 126,777 63,950 144,308
Changes in Fair Value of Stock Warrants 23 (717) (362)
Loss on Sale of Premises and Equipment 5    
Loss on Investment in Affordable Housing Partnership 620 846 880
Decrease in Accrued Interest Receivable 248 219 1,444
Increase in Servicing Assets (2,889) (1,560) (81)
Increase in Restricted Cash (3,532) (1,818)  
(Increase) Decrease in Prepaid Expenses (486) (167) 347
Decrease (Increase) in Other Assets 183 2,118 (3,361)
Decrease in Current Tax Assets 43 115 47,366
(Decrease) Increase in Accrued Interest Payable (4,257) 66 3,360
(Increase) Decrease in Other Liabilities 1,029 (1,301) (177)
Net Cash Provided By Operating Activities 49,938 49,245 226,445
CASH FLOWS FROM INVESTING ACTIVITIES:      
Proceeds from Redemption of Federal Home Loan Bank and Federal Reserve Bank Stock 5,054 4,428 4,510
Proceeds from Matured or Called Securities Available for Sale 150,113 249,282 130,125
Proceeds from Sales of Securities Available for sale 102,538 155,468 31,832
Proceeds from Matured or Called Securities Held to Maturity 6,704 135 24
Proceeds from Sales of Other Real Estate Owned 749 6,453 25,113
Proceeds from Sales of Loans Held for Sale 97,915 107,782  
Proceeds from Matured Term Federal Funds 270,000    
Proceeds from Insurance Settlement on Bank-Owned Life Insurance 345    
Net (Increase) Decrease in Loans Receivable (157,514) 120,686 294,701
Purchase of Federal Reserve Bank Stock (3,664) (1,109) (666)
Purchase of Loans Receivable (82,885)    
Purchases of Term Federal Fund (155,000) (115,000)  
Purchases of Securities Available for Sale (267,949) (368,442) (448,428)
Purchases of Securities Held to Maturity   (59,179)  
Purchases of Premises and Equipment (675) (1,167) (1,228)
Net Cash (Used In) Provided By Investing Activities (34,269) 99,337 35,983
CASH FLOWS FROM FINANCING ACTIVITIES:      
Increase (Decrease) in Deposits 51,053 (121,811) (282,606)
Net Proceeds from Issuance of Common Stock in Offering   77,109 116,271
Proceeds from Exercises of Stock Options 10   22
Repayment of Long-Term Federal Home Loan Bank Advances (368) (347) (328)
Net Change in Short-Term Federal Home Loan Bank Advances and Other Borrowings   (151,570) (177)
Net Cash Provided By (Used In) Financing Activities 50,695 (196,619) (166,818)
NET INCREASE (DECREASE) IN CASH AND CASH EQUIVALENTS 66,364 (48,037) 95,610
Cash and Cash Equivalents at Beginning of Year 201,683 249,720 154,110
CASH AND CASH EQUIVALENTS AT END OF PERIOD 268,047 201,683 249,720
Cash Paid During the Period for:      
Interest Paid 23,002 27,696 35,278
Income Taxes Paid 4,912 3 (49,971)
Non-Cash Activities:      
Transfer of Loans Receivable to Other Real Estate Owned 3,071 4,213 12,992
Transfer of Loans Receivable to Loans Held for Sale 95,611 110,290 155,176
Transfer of Loans Held for Sale to Loans Receivable 1,779    
Loans Provided in the Sale of Loans Held for Sale   5,750  
Loans Provided in the Sale of Other Real Estate Owned   510 1,217
Reclassification of held-to-maturity securities to available-for-sale securities 52,674    
Issuance of Stock Warrants in Connection with Common Stock Offering     1,962
Issuance of Treasury Stocks in Connection with Reverse Stock Split   $ 154