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Securities Sold Under Agreements to Repurchase (Tables)
6 Months Ended
Jun. 30, 2025
Securities Sold under Agreements to Repurchase [Abstract]  
Schedule of Securities Sold Under Agreements to Repurchase and Weighted-Average Interest Rates The following table presents securities sold under agreements to repurchase and related weighted-average interest rates:
At or for the Six Months
Ended June 30,
(dollars in thousands)20252024
Outstanding at period end$297,637 $240,713 
Average amount outstanding during the period284,518 273,088 
Maximum amount outstanding at any month-end during the period311,335 319,423 
Weighted-average interest rate:
During the period0.84 %1.15 %
At period end0.91 %3.41 %
Schedule of Remaining Contractual Maturity of Secured Borrowings and Class of Collateral Pledged Under Repurchase Agreements
The following table presents the contractual maturity of our secured borrowings and class of collateral pledged:
 At June 30, 2025
 Remaining Contractual Maturity of the Agreements
(dollars in thousands)Overnight and ContinuousUp to
30 Days
 30-90 DaysGreater Than 90 daysTotal
Repurchase Agreements:     
U.S. Treasury and agency securities$297,637 $ $ $ $297,637 
Total$297,637 $ $ $ $297,637