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As Of Filer Filing For·On·As Docs:Size Issuer Filing Agent 2/11/14 Investors Bancorp, Inc. S-1/A 137:32M Donnelley … Solutions/FA |
Document/Exhibit Description Pages Size 1: S-1/A Pre-Effective Amendment to Registration Statement HTML 3.88M (General Form) 2: EX-1.2 Underwriting Agreement HTML 207K 3: EX-8.1 Opinion of Counsel re: Tax Matters HTML 68K 4: EX-8.2 Opinion of Counsel re: Tax Matters HTML 93K 5: EX-10.14 Material Contract HTML 97K 6: EX-10.15 Material Contract HTML 97K 7: EX-10.16 Material Contract HTML 97K 8: EX-23.2 Consent of Experts or Counsel HTML 35K 9: EX-23.3 Consent of Experts or Counsel HTML 38K 10: EX-99.3.1 Miscellaneous Exhibit HTML 822K 11: EX-99.4 Miscellaneous Exhibit HTML 124K 12: EX-99.5 Miscellaneous Exhibit HTML 108K 93: R1 Document and Entity Information HTML 49K 70: R2 Consolidated Balance Sheets HTML 157K 88: R3 Consolidated Balance Sheets (Parenthetical) HTML 63K 97: R4 Consolidated Statements Of Operations HTML 187K 125: R5 Consolidated Statements Of Comprehensive Income HTML 86K 74: R6 Consolidated Statements Of Stockholders' Equity HTML 102K 87: R7 Consolidated Statements Of Stockholders' Equity HTML 43K (Parenthetical) 63: R8 Consolidated Statements Of Cash Flows HTML 304K 52: R9 Basis of Presentation and Summary of Significant HTML 82K Accounting Policies 127: R10 Business Combinations HTML 99K 99: R11 Earnings Per Share HTML 86K 98: R12 Securities HTML 447K 106: R13 Loans Receivable, Net HTML 529K 107: R14 Deposits HTML 68K 103: R15 Goodwill and Other Intangible Assets HTML 77K 108: R16 Equity Incentive Plan HTML 54K 89: R17 Benefit Plans HTML 112K 94: R18 Comprehensive Income HTML 129K 101: R19 Fair Value Measurements HTML 206K 136: R20 Recent Accounting Pronouncements HTML 46K 117: R21 Subsequent Events HTML 45K 81: R22 Stock Transactions HTML 43K 100: R23 Office Properties and Equipment, Net HTML 46K 84: R24 Borrowed Funds HTML 68K 41: R25 Income Taxes HTML 79K 119: R26 Commitments and Contingencies HTML 53K 132: R27 Regulatory Capital HTML 59K 57: R28 Parent Company Only Financial Statements HTML 89K 56: R29 Selected Quarterly Financial Data (Unaudited) HTML 70K 61: R30 Recent Accounting Pronouncements HTML 52K 62: R31 Basis of Presentation and Summary of Significant HTML 129K Accounting Policies (Policies) 64: R32 Business Combinations (Tables) HTML 67K 29: R33 Earnings Per Share (Tables) HTML 82K 115: R34 Securities (Tables) HTML 374K 79: R35 Loans Receivable, Net (Tables) HTML 499K 82: R36 Deposits (Tables) HTML 68K 46: R37 Goodwill and Other Intangible Assets (Tables) HTML 70K 135: R38 Benefit Plans (Tables) HTML 120K 19: R39 Comprehensive Income (Tables) HTML 128K 67: R40 Fair Value Measurements (Tables) HTML 164K 123: R41 Office Properties and Equipment, Net (Tables) HTML 45K 43: R42 Borrowed Funds (Tables) HTML 68K 55: R43 Income Taxes (Tables) HTML 78K 60: R44 Commitments and Contingencies (Tables) HTML 41K 71: R45 Regulatory Capital (Tables) HTML 53K 28: R46 Parent Company Only Financial Statements (Tables) HTML 91K 51: R47 Selected Quarterly Financial Data (Unaudited) HTML 67K (Tables) 22: R48 Business Combinations - Additional Information HTML 98K (Detail) 121: R49 Summary Of Estimated Fair Values Of The Assets HTML 84K Acquired And Liabilities Assumed (Detail) 42: R50 Summary Of Calculations And Reconciliation Of HTML 93K Basic To Diluted Earnings Per Share (Detail) 116: R51 Summary Of Securities (Detail) HTML 171K 47: R52 Securities - Additional Information (Detail) HTML 109K 68: R53 Investment Securities, Continuous Unrealized Loss HTML 136K Position And Fair Value (Detail) 21: R54 Summary Of Pooled Trust Preferred Securities HTML 217K (Detail) 25: R55 Amortized Cost And Estimated Fair Value Of Debt HTML 79K Securities By Contractual Maturity (Detail) 59: R56 Changes In Credit Loss Component Of The Impairment HTML 52K Loss Of Debt Securities For Other-Than-Temporary Impairment Recognized In Earnings (Detail) 33: R57 Loans Receivable, Net (Detail) HTML 79K 128: R58 Certain Loans Acquired in Transfer Not Accounted HTML 52K for as Debt Securities Acquired During Period (Detail) 77: R59 Schedule of Accretable Yield Movement (Detail) HTML 52K 104: R60 Summary Of Analysis Of The Allowance For Loan HTML 56K Losses (Detail) 50: R61 Loans Receivable, Net - Additional Information HTML 142K (Detail) 53: R62 Summary Of Allowance For Loan Losses And The HTML 114K Recorded Investment In Loans By Portfolio Segment And Based On Impairment Method (Detail) 113: R63 Schedule Of Risk Category Of Loans By Class Of HTML 83K Loans (Detail) 109: R64 Payment Status Of The Recorded Investment In Past HTML 69K Due Loans (Detail) 80: R65 Non-Accrual Loans Status (Detail) HTML 48K 111: R66 Loans Individually Evaluated For Impairment By HTML 86K Class Of Loans (Detail) 48: R67 Troubled Debt Restructured Loans (Detail) HTML 65K 85: R68 Schedule Of Troubled Debt Restructurings (Detail) HTML 54K 131: R69 Summary of Deposits (Detail) HTML 75K 24: R70 Goodwill And Intangible Assets - Additional HTML 67K Information (Detail) 40: R71 Goodwill And Other Intangible Assets (Detail) HTML 53K 69: R72 Equity Incentive Plan - Additional Information HTML 62K (Detail) 31: R73 Summary Of Stock Option Activity And Related HTML 98K Information (Detail) 134: R74 Summary Of Non-Vested Options And Restricted HTML 69K Shares (Detail) 44: R75 Components Of Net Periodic Benefit Cost (Detail) HTML 56K 35: R76 Net Periodic Benefit Plan Expense (Detail) HTML 37K 39: R77 Components Of Comprehensive Income (Loss), Gross HTML 166K And Net Of Tax (Detail) 26: R78 Component Of Accumulated Other Comprehensive Loss HTML 108K (Detail) 30: R79 Carrying Value Of Our Assets Measured At Fair HTML 75K Value On A Recurring Basis (Detail) 95: R80 Fair Value Measurements - Additional Information HTML 48K (Detail) 37: R81 Carrying Value Of Our Assets Measured At Fair HTML 57K Value On A Non-Recurring Basis (Detail) 129: R82 Carrying Amounts And Estimated Fair Values HTML 109K (Detail) 65: R83 Subsequent Event - Additional Information (Detail) HTML 70K 102: R84 Summary of Significant Accounting Policies - HTML 72K Additional Information (Detail) 110: R85 Stock Transaction - Additional Information HTML 89K (Detail) 36: R86 Schedule of Accretable Yeild Movement (Detail) HTML 52K 38: R87 Office Properties and Equipment, Net (Detail) HTML 62K 126: R88 Depreciation and Amortization Expense - Additional HTML 39K Information (Detail) 32: R89 Goodwill and Intangibles Estimated Future HTML 52K Amortization (Detail) 96: R90 Scheduled Maturities of Certificates of Deposit HTML 53K (Detail) 92: R91 Aggregate Amount Of Certificate Deposit - HTML 40K Additional Information (Detail) 114: R92 Interest Expense On Deposits (Detail) HTML 51K 91: R93 Summary of Borrowed Funds (Detail) HTML 48K 75: R94 Borrowed Funds Scheduled Maturities (Detail) HTML 70K 120: R95 Amortized Cost and Fair Value of The Underlying HTML 42K Securities Used As Collateral For Securities Sold Under Agreements to Repurchase (Detail) 72: R96 Borrowed Funds - Additional Information (Detail) HTML 56K 45: R97 Summary Of Components Of Income Tax Expense HTML 77K (Benefit) (Detail) 83: R98 Income Taxes - Additional Information (Detail) HTML 51K 78: R99 Summary Of Reconciliation Between The Actual HTML 77K Income Tax Expense (Benefit) And The Expected Amount Computed Using Applicable Statutory Federal Income Tax Rate (Detail) 58: R100 Summary Of Deferred Tax Asset And Liability In HTML 102K Temporary Differences And Loss Carryforwards (Detail) 137: R101 Benefit Plans - Additional Information (Detail) HTML 124K 112: R102 Schedule Of Information Regarding Supplemental HTML 69K Executive Retirement Wage Replacement Plan And The Directors' Defined Benefit Plan (Detail) 90: R103 Components Of Accumulated Other Comprehensive Loss HTML 50K Related To Pension Plans On A Pre-Tax Basis (Detail) 27: R104 Schedule Of Weighted-Average Actuarial Assumptions HTML 42K Used (Detail) 122: R105 Weighted Average Assumptions Used To Determine Net HTML 42K Periodic Benefit Cost (Detail) 130: R106 Estimated Future Benefit Payments (Detail) HTML 50K 124: R107 Schedule Of Fair Value Of Option Grants Estimated HTML 49K On The Date Of Grant (Detail) 86: R108 Commitments and Contingencies - Additional HTML 63K Information (Detail) 34: R109 Projected Annual Minimum Rental Commitments HTML 63K (Detail) 105: R110 Regulatory Capital (Detail) HTML 99K 49: R111 Balance Sheets (Detail) HTML 71K 20: R112 Statements of Operations (Detail) HTML 89K 73: R113 Other Comprehensive Income (Detail) HTML 65K 66: R114 Statements of Cash Flows (Detail) HTML 115K 118: R115 Summary Of Certain Quarterly Financial Data HTML 83K (Detail) 133: XML IDEA XML File -- Filing Summary XML 218K 23: EXCEL IDEA Workbook of Financial Reports XLSX 810K 54: EXCEL IDEA Workbook of Financial Reports (.xls) XLS 4.58M 13: EX-101.INS XBRL Instance -- isbc-20130930 XML 8.08M 15: EX-101.CAL XBRL Calculations -- isbc-20130930_cal XML 563K 16: EX-101.DEF XBRL Definitions -- isbc-20130930_def XML 2.07M 17: EX-101.LAB XBRL Labels -- isbc-20130930_lab XML 2.82M 18: EX-101.PRE XBRL Presentations -- isbc-20130930_pre XML 2.34M 14: EX-101.SCH XBRL Schema -- isbc-20130930 XSD 405K 76: ZIP XBRL Zipped Folder -- 0001193125-14-045767-xbrl Zip 545K
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Files: | isbc-20130930.xml isbc-20130930_cal.xml isbc-20130930_def.xml isbc-20130930_lab.xml isbc-20130930_pre.xml isbc-20130930.xsd |
As Of Filer Filing For·On·As Docs:Size Issuer Filing Agent 3/01/22 Investors Bancorp, Inc. 10-K 12/31/21 150:27M 3/01/21 Investors Bancorp, Inc. 10-K 12/31/20 155:27M |