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Investment Securities - HTM Debt Securities, Amortized Cost​ (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
HTM Securities      
Amortized Cost Basis $ 216,936 $ 431,424  
Credit Loss Allowance (37,369) (24,463) $ (13,143)
Net Carrying Amount 179,567 406,961  
Gross Unrealized Holding Gains 1,253 336  
Gross Unrealized Holding Losses (34,378) (24,903)  
Fair Value 146,442 382,394  
Activity in credit loss allowance for HTM debt securities      
Credit loss allowance at beginning 24,463 13,143 3,182
Credit loss (reversal) provision, net 12,906 11,320 9,961
Credit loss allowance at ending 37,369 24,463 13,143
HTM preferred equity interests      
Less than one year 49,447    
One to three years 21,796    
Three to five years 88,426    
Thereafter 19,898    
Total 179,567    
CMBS      
HTM Securities      
Amortized Cost Basis 92,629 357,012  
Credit Loss Allowance (13) (85) (164)
Net Carrying Amount 92,616 356,927  
Gross Unrealized Holding Gains 603 315  
Gross Unrealized Holding Losses (11,436) (21,326)  
Fair Value 81,783 335,916  
Activity in credit loss allowance for HTM debt securities      
Credit loss allowance at beginning 85 164 172
Credit loss (reversal) provision, net (72) (79) (8)
Credit loss allowance at ending 13 85 164
HTM preferred equity interests      
Less than one year 25,453    
One to three years 0    
Three to five years 67,163    
Thereafter 0    
Total 92,616    
Preferred interests      
HTM Securities      
Amortized Cost Basis 82,844 47,069  
Credit Loss Allowance (27,166) (14,308) (2,898)
Net Carrying Amount 55,678 32,761  
Gross Unrealized Holding Gains 0 0  
Gross Unrealized Holding Losses (22,942) (3,568)  
Fair Value 32,736 29,193  
Activity in credit loss allowance for HTM debt securities      
Credit loss allowance at beginning 14,308 2,898 0
Credit loss (reversal) provision, net 12,858 11,410 2,898
Credit loss allowance at ending 27,166 14,308 2,898
HTM preferred equity interests      
Less than one year 23,994    
One to three years 15,359    
Three to five years 16,325    
Thereafter 0    
Total 55,678    
Infrastructure bonds      
HTM Securities      
Amortized Cost Basis 41,463 27,343  
Credit Loss Allowance (10,190) (10,070) (10,081)
Net Carrying Amount 31,273 17,273  
Gross Unrealized Holding Gains 650 21  
Gross Unrealized Holding Losses 0 (9)  
Fair Value 31,923 17,285  
Activity in credit loss allowance for HTM debt securities      
Credit loss allowance at beginning 10,070 10,081 3,010
Credit loss (reversal) provision, net 120 (11) 7,071
Credit loss allowance at ending 10,190 $ 10,070 $ 10,081
HTM preferred equity interests      
Less than one year 0    
One to three years 6,437    
Three to five years 4,938    
Thereafter 19,898    
Total $ 31,273