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FAIR VALUE OF FINANCIAL INSTRUMENTS - Assets and Liabilities Measured at Fair Value on a Recurring and Nonrecurring Basis (Details) - USD ($)
3 Months Ended 6 Months Ended
Jun. 30, 2021
Jun. 30, 2020
Jun. 30, 2021
Jun. 30, 2020
Dec. 31, 2020
Financial Assets          
Derivative assets $ 45,439,000   $ 45,439,000   $ 18,932,000
Financial Liabilities          
Derivative liabilities 42,892,000   42,892,000   37,374,000
Impaired Loans [Abstract]          
Individually evaluated CRE loans with an allowance for credit losses, Outstanding balance         12,502,000
Valuation allowance         6,474,000
Provision for credit losses (4,248,000) $ 6,060,000 11,531,000 $ 14,072,000  
Recurring | Cash flow hedges          
Financial Assets          
Derivative assets 2,547,000   2,547,000    
Financial Liabilities          
Derivative liabilities         18,442,000
Recurring | Freestanding derivatives          
Financial Assets          
Derivative assets 42,892,000   42,892,000   30,596,000
Financial Liabilities          
Derivative liabilities 42,892,000   42,892,000   30,596,000
Recurring | Level 2 Inputs [Member] | Cash flow hedges          
Financial Assets          
Derivative assets 2,547,000   2,547,000    
Financial Liabilities          
Derivative liabilities         18,442,000
Recurring | Level 2 Inputs [Member] | Freestanding derivatives          
Financial Assets          
Derivative assets 42,892,000   42,892,000   30,596,000
Financial Liabilities          
Derivative liabilities 42,892,000   42,892,000   30,596,000
Nonrecurring [Member]          
Impaired Loans [Abstract]          
Individually evaluated CRE loans with an allowance for credit losses, Outstanding balance 71,600,000   71,600,000    
Valuation allowance 23,700,000   23,700,000    
Provision for credit losses 500,000   400,000    
Carrying amount of impaired loans         0
Nonrecurring [Member] | Level 3 Inputs [Member]          
Impaired Loans [Abstract]          
Individually evaluated loans 47,951,000   47,951,000    
Carrying Amount | Nonrecurring [Member]          
Impaired Loans [Abstract]          
Individually evaluated loans 47,951,000   47,951,000    
Agency Notes | Recurring          
Financial Assets          
Securities available-for-sale: 81,035,000   81,035,000   47,421,000
Agency Notes | Recurring | Level 2 Inputs [Member]          
Financial Assets          
Securities available-for-sale: 81,035,000   81,035,000   47,421,000
Treasury Securities | Recurring          
Financial Assets          
Securities available-for-sale: 167,998,000   167,998,000    
Treasury Securities | Recurring | Level 2 Inputs [Member]          
Financial Assets          
Securities available-for-sale: 167,998,000   167,998,000    
Corporate Securities | Recurring          
Financial Assets          
Securities available-for-sale: 108,064,000   108,064,000   64,461,000
Corporate Securities | Recurring | Level 2 Inputs [Member]          
Financial Assets          
Securities available-for-sale: 108,064,000   108,064,000   64,461,000
Pass-through MBS issued by GSEs | Recurring          
Financial Assets          
Securities available-for-sale:         143,483,000
Mortgage-backed securities 331,749,000   331,749,000    
Pass-through MBS issued by GSEs | Recurring | Level 2 Inputs [Member]          
Financial Assets          
Securities available-for-sale:         143,483,000
Mortgage-backed securities 331,749,000   331,749,000    
Agency CMOs [Member] | Recurring          
Financial Assets          
Securities available-for-sale: 531,490,000   531,490,000   283,496,000
Agency CMOs [Member] | Recurring | Level 2 Inputs [Member]          
Financial Assets          
Securities available-for-sale: 531,490,000   531,490,000   283,496,000
State and municipal obligations | Recurring          
Financial Assets          
Securities available-for-sale: 41,452,000   41,452,000    
State and municipal obligations | Recurring | Level 2 Inputs [Member]          
Financial Assets          
Securities available-for-sale: $ 41,452,000   $ 41,452,000    
Domestic Equity Mutual Funds | Recurring          
Financial Assets          
Marketable equity securities (Registered Mutual Funds)         1,769,000
Domestic Equity Mutual Funds | Recurring | Level 1 Inputs [Member]          
Financial Assets          
Marketable equity securities (Registered Mutual Funds)         1,769,000
International Equity Mutual Funds | Recurring          
Financial Assets          
Marketable equity securities (Registered Mutual Funds)         468,000
International Equity Mutual Funds | Recurring | Level 1 Inputs [Member]          
Financial Assets          
Marketable equity securities (Registered Mutual Funds)         468,000
Fixed Income Mutual Funds | Recurring          
Financial Assets          
Marketable equity securities (Registered Mutual Funds)         3,733,000
Fixed Income Mutual Funds | Recurring | Level 1 Inputs [Member]          
Financial Assets          
Marketable equity securities (Registered Mutual Funds)         $ 3,733,000