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Fair Value Measurements - Estimated Fair Values of Company's Financial Instruments (Detail) - USD ($)
$ in Thousands
Jun. 30, 2022
Dec. 31, 2021
FINANCIAL ASSETS    
Federal funds sold, Carrying Amount $ 1,525 $ 800
Debt securities held for investment, Carrying Amount 2,391 2,977
Loans, net of allowance for credit losses, Carrying Amount 6,526,348 6,085,506
Debt securities held for investment, Fair Value 2,392 2,978
Loans held for sale, Fair Value 7,360 24,776
FINANCIAL LIABILITIES    
Deposits, Carrying Amount 11,142,688 8,091,914
Short-term borrowings, Carrying Amount 6,100 0
Subordinated debt, Carrying Amount 86,015 85,987
OFF-BALANCE SHEET FINANCIAL INSTRUMENTS    
Loan commitments, Fair Value 4,350 3,648
Letters of credit, Fair Value 509 621
Level 2 Inputs [Member]    
FINANCIAL ASSETS    
Cash and cash equivalents, Carrying Amount 3,879,341 2,050,022
Federal funds sold, Carrying Amount 1,525 800
Debt securities held for investment, Carrying Amount 21 32
Loans held for sale, Carrying Amount 7,360 24,776
Cash and cash equivalents, Fair Value 3,879,341 2,050,022
Federal funds sold, Fair Value 1,525 800
Debt securities held for investment, Fair Value 22 33
Loans held for sale, Fair Value 7,360 24,776
FINANCIAL LIABILITIES    
Deposits, Carrying Amount 11,142,688 8,091,914
Short-term borrowings, Carrying Amount 6,100  
Subordinated debt, Carrying Amount 86,015 85,987
Deposits, Fair Value 10,825,618 8,161,553
Short-term Debt, Fair Value 6,100  
Subordinated debt, Fair Value 85,100 90,391
Level 3 Inputs [Member]    
FINANCIAL ASSETS    
Debt securities held for investment, Carrying Amount 2,370 2,945
Loans, net of allowance for credit losses, Carrying Amount 6,526,348 6,085,506
Debt securities held for investment, Fair Value 2,370 2,945
Loans, net of allowance for credit losses, Fair Value $ 6,296,415 $ 6,059,716