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Condensed Consolidated Balance Sheets - USD ($)
$ in Thousands
Jun. 30, 2023
Dec. 31, 2022
Assets:    
Cash and due from banks $ 20,950 $ 23,125
Interest-bearing deposits in banks 1,182,974 1,033,905
Total cash and cash equivalents 1,203,924 1,057,030
Restricted cash [1] 34,792 67,454
Securities available for sale at fair value ($579,704 and $399,668 at amortized cost, respectively) 523,579 345,702
Loans held for sale at fair value 250,361 110,400
Loans and leases held for investment 5,533,349 5,033,154
Allowance for loan and lease losses (355,163) (327,852)
Loans and leases held for investment, net 5,178,186 4,705,302
Loans held for investment at fair value [1] 404,119 925,938
Retail and certificate loans held for investment at fair value [1] 26,837 55,425
Property, equipment and software, net 151,608 136,473
Goodwill 75,717 75,717
Other assets [1] 493,383 500,306
Total assets 8,342,506 7,979,747
Deposits:    
Interest-bearing 6,653,749 6,158,560
Noninterest-bearing 189,786 233,993
Total deposits 6,843,535 6,392,553
Borrowings [1] 15,675 74,858
Retail notes, certificates and secured borrowings at fair value [1] 26,837 55,425
Other liabilities [1] 250,936 292,617
Total liabilities 7,136,983 6,815,453
Equity    
Common stock, $0.01 par value; 180,000,000 shares authorized; 108,694,120 and 106,546,995 shares issued and outstanding, respectively 1,087 1,065
Additional paid-in capital 1,647,593 1,628,590
Accumulated deficit (403,969) (427,745)
Accumulated other comprehensive loss (39,188) (37,616)
Total equity 1,205,523 1,164,294
Total liabilities and equity $ 8,342,506 $ 7,979,747
[1] Includes amounts in consolidated variable interest entities (VIEs). See “Notes to Condensed Consolidated Financial Statements – Note 6. Securitizations and Variable Interest Entities.”