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Fair Value Measurements - Carrying Value and Fair Value of Financial Instruments (Details) - USD ($)
$ in Thousands
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Financial Assets:      
Investment securities held to maturity $ 673,434    
Financial Liabilities:      
Certificates of deposit 307,573 $ 342,839  
Level 1      
Financial Assets:      
Investment securities available for sale 25,178    
Level 2 | Interest rate swaps      
Financial Liabilities:      
Derivative liabilities - interest rate swaps     $ 15,286
Level 3      
Financial Assets:      
Investment securities available for sale 0    
Reported Value Measurement      
Financial Assets:      
Cash and cash equivalents 103,590   1,723,292
Investment securities available for sale 1,331,443   894,335
Investment securities held to maturity 766,396   383,393
Loans held for sale     1,476
Loans receivable, net 4,007,872   3,773,301
Accrued interest receivable 18,547   14,657
Equity security 185   240
Financial Liabilities:      
Securities sold under agreement to repurchase 46,597   50,839
Junior subordinated debentures 21,473   21,180
Accrued interest payable 143   73
Reported Value Measurement | Noninterest deposits, interest bearing demand deposits, money market accounts and savings accounts      
Financial Liabilities:      
Non-maturity deposits 5,617,267   6,051,451
Reported Value Measurement | Bank Time Deposits      
Financial Liabilities:      
Certificates of deposit 307,573   342,839
Reported Value Measurement | Interest rate swaps      
Financial Assets:      
Derivative assets - interest rate swaps 30,107   15,219
Financial Liabilities:      
Derivative liabilities - interest rate swaps 30,107   15,286
Fair Value      
Financial Assets:      
Cash and cash equivalents 103,590   1,723,292
Investment securities available for sale 1,331,443   894,335
Investment securities held to maturity 673,434   376,331
Loans held for sale     1,527
Loans receivable, net 3,841,821   3,849,602
Accrued interest receivable 18,547   14,657
Equity security 185   240
Financial Liabilities:      
Securities sold under agreement to repurchase 46,597   50,839
Junior subordinated debentures 20,000   18,750
Accrued interest payable 143   73
Fair Value | Noninterest deposits, interest bearing demand deposits, money market accounts and savings accounts      
Financial Liabilities:      
Non-maturity deposits 5,617,267   6,051,451
Fair Value | Bank Time Deposits      
Financial Liabilities:      
Certificates of deposit 308,325   344,025
Fair Value | Interest rate swaps      
Financial Assets:      
Derivative assets - interest rate swaps 30,107   15,219
Financial Liabilities:      
Derivative liabilities - interest rate swaps 30,107   15,286
Fair Value | Level 1      
Financial Assets:      
Cash and cash equivalents 103,590   1,723,292
Investment securities available for sale     0
Investment securities held to maturity 0   0
Loans held for sale     0
Loans receivable, net 0   0
Accrued interest receivable 349   14
Equity security 185   240
Financial Liabilities:      
Securities sold under agreement to repurchase 46,597   50,839
Junior subordinated debentures 0   0
Accrued interest payable 57   33
Fair Value | Level 1 | Noninterest deposits, interest bearing demand deposits, money market accounts and savings accounts      
Financial Liabilities:      
Non-maturity deposits 5,617,267   6,051,451
Fair Value | Level 1 | Bank Time Deposits      
Financial Liabilities:      
Certificates of deposit 0   0
Fair Value | Level 1 | Interest rate swaps      
Financial Assets:      
Derivative assets - interest rate swaps 0   0
Financial Liabilities:      
Derivative liabilities - interest rate swaps 0   0
Fair Value | Level 2      
Financial Assets:      
Cash and cash equivalents 0   0
Investment securities available for sale 1,306,265   894,335
Investment securities held to maturity 673,434   376,331
Loans held for sale     1,527
Loans receivable, net 0   0
Accrued interest receivable 6,892   4,582
Equity security 0   0
Financial Liabilities:      
Securities sold under agreement to repurchase 0   0
Junior subordinated debentures 0   0
Accrued interest payable 13   19
Fair Value | Level 2 | Noninterest deposits, interest bearing demand deposits, money market accounts and savings accounts      
Financial Liabilities:      
Non-maturity deposits 0   0
Fair Value | Level 2 | Bank Time Deposits      
Financial Liabilities:      
Certificates of deposit 308,325   344,025
Fair Value | Level 2 | Interest rate swaps      
Financial Assets:      
Derivative assets - interest rate swaps 30,107   15,219
Financial Liabilities:      
Derivative liabilities - interest rate swaps 30,107    
Fair Value | Level 3      
Financial Assets:      
Cash and cash equivalents 0   0
Investment securities available for sale     0
Investment securities held to maturity 0   0
Loans held for sale     0
Loans receivable, net 3,841,821   3,849,602
Accrued interest receivable 11,306   10,061
Equity security 0   0
Financial Liabilities:      
Securities sold under agreement to repurchase 0   0
Junior subordinated debentures 20,000   18,750
Accrued interest payable 73   21
Fair Value | Level 3 | Noninterest deposits, interest bearing demand deposits, money market accounts and savings accounts      
Financial Liabilities:      
Non-maturity deposits 0   0
Fair Value | Level 3 | Bank Time Deposits      
Financial Liabilities:      
Certificates of deposit 0   0
Fair Value | Level 3 | Interest rate swaps      
Financial Assets:      
Derivative assets - interest rate swaps 0   0
Financial Liabilities:      
Derivative liabilities - interest rate swaps $ 0   $ 0