XML 45 R36.htm IDEA: XBRL DOCUMENT v3.23.2
Securities - Maturity of Debt Securities (Detail) - USD ($)
$ in Thousands
Jun. 30, 2023
Dec. 31, 2022
Held for Investment, Contractual maturity of debt securities, Amortized Cost    
Amortized cost, Within one year $ 350 $ 1,186
Amortized cost, After one year but within five years 842 1,195
Amortized cost, After five years but within ten years 1 2
Amortized Cost 1,193 2,383
Available for sale, Contractual maturity of debt securities, Amortized Cost    
Amortized Cost, Within one year 150,837 101,607
Amortized Cost, After one year but within five years 1,269,157 1,316,874
Amortized Cost, After five years but within ten years 202,889 170,513
Amortized Cost, After ten years 39,502 42,897
Amortized Cost 1,662,385 1,631,891
Held for Investment, Contractual maturity of debt securities, Estimated Fair Value    
Estimated Fair Value, Within one year 350 1,186
Estimated Fair Value, After one year but within five years 842 1,195
Estimated Fair Value, After five years but within ten years 1 2
Estimated Fair Value 1,193 2,383
Available for sale, Contractual maturity of debt securities, Estimated Fair Value    
Estimated Fair Value, Within one year 147,496 100,655
Estimated Fair Value, After one year but within five years 1,187,686 1,233,725
Estimated Fair Value, After five years but within ten years 196,755 163,101
Estimated Fair Value, After ten years 37,490 40,740
Total debt securities $ 1,569,427 $ 1,538,221