Debt securities available-for-sale |
3 Months Ended |
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Mar. 31, 2024 | |
Debt securities available-for-sale | |
Schedule of Available-for-sale Securities [Line Items] | |
Investments in debt and marketable equity securities | Note 5 – Debt securities available-for-sale The following tables present and contractual maturities of debt securities available-for-sale At March 31, 2024 Allowance Gross Gross Weighted Amortized for credit unrealized unrealized Fair average (In thousands) cost losses gains losses value yield U.S. Treasury securities Within 1 year $ 9,394,716 $ - 68 $ 60,864 $ 9,333,920 3.90 % After 1 to 5 years 2,825,336 - - 140,775 2,684,561 1.32 After 5 to 10 years 307,174 - - 36,444 270,730 1.63 Total U.S. Treasury 12,527,226 - 68 238,083 12,289,211 3.26 Collateralized mortgage obligations - federal agencies After 1 to 5 years 15,883 - - 813 15,070 1.54 After 5 to 10 years 19,189 - - 1,337 17,852 2.29 After 10 years 104,671 - 21 10,006 94,686 2.55 Total collateralized 139,743 - 21 12,156 127,608 2.40 Mortgage-backed securities - federal agencies Within 1 year 457 - - 5 452 2.06 After 1 to 5 years 78,628 - 6 3,683 74,951 2.36 After 5 to 10 years 817,332 - 181 56,576 760,937 2.33 After 10 years 5,897,090 - 449 1,135,279 4,762,260 1.65 Total mortgage-backed 6,793,507 - 636 1,195,543 5,598,600 1.74 Other Within 1 year 1,005 500 - - 505 4.00 After 1 to 5 years 1,500 - - - 1,500 8.50 Total other 2,505 500 - - 2,005 6.69 Total debt securities [1] $ 19,462,981 $ 500 725 $ 1,445,782 $ 18,017,424 2.72 % [1] 11.8 agreements that the secured parties are not permitted 11 .0 billion serve as collateral for public funds. Corporation had unpledged Available for Sale securities 6.2 At December 31, 2023 Gross Gross Weighted Amortized unrealized unrealized Fair average (In thousands) cost gains losses value yield U.S. Treasury securities Within 1 year $ 7,103,518 $ 526 $ 59,415 $ 7,044,629 3.51 % After 1 to 5 years 3,598,209 84 170,209 3,428,084 1.35 After 5 to 10 years 307,512 - 33,164 274,348 1.63 Total U.S. Treasury 11,009,239 610 262,788 10,747,061 2.75 Collateralized mortgage obligations - federal agencies After 1 to 5 years 17,899 - 838 17,061 1.55 After 5 to 10 years 20,503 2 1,321 19,184 2.28 After 10 years 108,280 29 9,868 98,441 2.54 Total collateralized 146,682 31 12,027 134,686 2.38 Mortgage-backed securities - federal agencies Within 1 year 637 - 3 634 3.72 After 1 to 5 years 82,310 11 3,536 78,785 2.34 After 5 to 10 years 792,431 75 48,250 744,256 2.28 After 10 years 6,067,353 667 1,046,909 5,021,111 1.64 Total mortgage-backed 6,942,731 753 1,098,698 5,844,786 1.72 Other Within 1 year 1,011 - - 1,011 4.00 After 1 to 5 years 1,500 - - 1,500 8.50 Total other 2,511 - - 2,511 6.69 Total debt securities [1] $ 18,101,163 $ 1,394 $ 1,373,513 $ 16,729,044 2.35 % [1] Includes $ 12 servicing agreements that the secured parties are not permitted 11.1 public funds. The Corporation had unpledged Available 4.6 borrowing facilities. The weighted changes in fair value. Debt obligations, are classified mortgage-backed securities and certain other securities may prepayments or may be called by the issuer. At March 31, 2024, the Corporation did not intend securities classified as available-for-sale. There were no The aggregated by investment category and length of March 31, 2024 and December 31, 2023. At March 31, 2024 Less than 12 months 12 months or more Total Gross Gross Gross Fair Fair Fair (In thousands) value losses value losses value losses U.S. Treasury securities $ 4,845,109 $ 3,713 $ 5,809,606 $ 234,370 $ 10,654,715 $ 238,083 Collateralized mortgage obligations - federal agencies 2,127 2 123,238 12,154 125,365 12,156 Mortgage-backed securities 45,988 428 5,523,133 1,195,115 5,569,121 1,195,543 Total debt securities $ 4,893,224 $ 4,143 $ 11,455,977 $ 1,441,639 $ 16,349,201 $ 1,445,782 At December 31, 2023 Less than 12 months 12 months or more Total Gross Gross Gross Fair Fair Fair (In thousands) value losses value losses value losses U.S. Treasury securities $ 244,925 $ 5,126 $ 6,550,941 $ 257,662 $ 6,795,866 $ 262,788 Collateralized mortgage obligations - federal agencies 5,234 35 124,930 11,992 130,164 12,027 Mortgage-backed securities 37,118 405 5,779,260 1,098,293 5,816,378 1,098,698 Total debt securities $ 287,277 $ 5,566 $ 12,455,131 $ 1,367,947 $ 12,742,408 $ 1,373,513 As of March 31, 2024, the 1.4 by environment. Government, its Home Loan Mortgage Corporation (“FHLMC”) and Government National Mortgage Association (“GNMA”). As discussed in Note 2 of the 2023 rating agencies, and have a long history of |