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Investment Securities - The amortized cost and estimated fair value of securities (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2018
Dec. 31, 2017
Dec. 31, 2016
Investment securities available-for-sale:      
Amortized Cost $ 1,111,168 $ 786,783  
Unrealized Gain 6,263 6,161  
Unrealized Loss (14,209) (5,515)  
Estimated Fair Value 1,103,222 787,429  
Investment securities held-to-maturity:      
Amortized Cost 45,210 18,291  
Unrealized Gain 148 0  
Unrealized Loss (686) (209)  
Estimated Fair Value 44,672 18,082  
Total investment securities      
Amortized Cost 1,156,378 805,074  
Unrealized Gain 6,411 6,161  
Unrealized Loss (14,895) (5,724)  
Estimated Fair Value 1,147,894 805,511  
Additional disclosures      
Accumulated other comprehensive income (loss) (7,900) 646  
Accumulated other comprehensive income (loss), net of tax (5,601) 415  
Fair value of securities pledged as collateral for the Bank's inverse putable reverse repurchases   27,300  
Average balance of repurchase agreement facilities 15,000    
OTTI realized     $ 205
Gross gains 1,600 3,100 1,800
Gross losses (208) (386) (9)
Net proceeds from the sale of available-for-sale securities 407,004 268,596 $ 230,945
Home Owners Association Loans      
Additional disclosures      
Value of inverse putable reverse repurchases secured by collateral 75    
U.S. Treasury      
Investment securities available-for-sale:      
Amortized Cost 59,688    
Unrealized Gain 1,224    
Unrealized Loss 0    
Estimated Fair Value 60,912    
Agency      
Investment securities available-for-sale:      
Amortized Cost 128,958 47,051  
Unrealized Gain 1,631 236  
Unrealized Loss (519) (78)  
Estimated Fair Value 130,070 47,209  
Corporate debt      
Investment securities available-for-sale:      
Amortized Cost 104,158 78,155  
Unrealized Gain 291 1,585  
Unrealized Loss (906) (194)  
Estimated Fair Value 103,543 79,546  
Municipal bonds      
Investment securities available-for-sale:      
Amortized Cost 238,914 228,929  
Unrealized Gain 1,941 3,942  
Unrealized Loss (2,225) (743)  
Estimated Fair Value 238,630 232,128  
Collateralized mortgage obligation: residential      
Investment securities available-for-sale:      
Amortized Cost 24,699 33,984  
Unrealized Gain 64 132  
Unrealized Loss (425) (335)  
Estimated Fair Value 24,338 33,781  
Mortgage-backed securities: residential      
Investment securities available-for-sale:      
Amortized Cost 554,751 398,664  
Unrealized Gain 1,112 266  
Unrealized Loss (10,134) (4,165)  
Estimated Fair Value 545,729 394,765  
Investment securities held-to-maturity:      
Amortized Cost 43,381 17,153  
Unrealized Gain 148 0  
Unrealized Loss (686) (209)  
Estimated Fair Value 42,843 16,944  
Additional disclosures      
Estimated par value of securities pledged as collateral for the Bank's inverse putable reverse repurchases 20,300    
Fair value of securities pledged as collateral for the Bank's inverse putable reverse repurchases 20,900    
Other      
Investment securities held-to-maturity:      
Amortized Cost 1,829 1,138  
Unrealized Gain 0 0  
Unrealized Loss 0 0  
Estimated Fair Value $ 1,829 $ 1,138