XML 11 R2.htm IDEA: XBRL DOCUMENT v3.23.2
Condensed Consolidated Balance Sheets - USD ($)
$ in Thousands
Jun. 30, 2023
Dec. 31, 2022
Assets    
Cash and due from banks $ 228,986 $ 123,505
Interest earning time deposits 2,452 2,812
Investment securities, available for sale 905,813 997,558
Investment securities, held to maturity (fair value of $1,668,229 and $1,681,309) 1,983,496 2,022,748
Loans held for sale 6,933 5,807
Loans, net of allowance for credit losses of $49,976 and $50,464 4,216,284 4,107,534
Premises and equipment, net 95,053 92,677
Federal Home Loan Bank stock 34,509 26,677
Goodwill 155,211 155,211
Other intangible assets 15,433 17,239
Interest receivable 37,536 35,294
Cash value of life insurance 148,171 146,175
Other assets 133,476 139,281
Total assets 7,963,353 7,872,518
Deposits    
Non–interest bearing 1,170,055 1,277,768
Interest bearing 4,539,277 4,580,006
Total deposits 5,709,332 5,857,774
Borrowings 1,352,039 1,142,949
Subordinated notes 58,970 58,896
Junior subordinated debentures issued to capital trusts 57,143 57,027
Interest payable 12,739 5,380
Other liabilities 63,887 73,117
Total liabilities 7,254,110 7,195,143
Commitments and contingent liabilities
Stockholders’ Equity    
Preferred stock, Authorized, 1,000,000 shares, Issued 0 shares 0 0
Common stock, no par value, Authorized 99,000,000 shares, Issued and Outstanding 44,112,816 and 43,937,889 shares 0 0
Additional paid-in capital 354,953 354,188
Retained earnings 452,209 429,385
Accumulated other comprehensive loss (97,919) (106,198)
Total stockholders’ equity 709,243 677,375
Total liabilities and stockholders’ equity $ 7,963,353 $ 7,872,518