XML 32 R21.htm IDEA: XBRL DOCUMENT v3.19.2
Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2019
Fair Value  
Assets and liabilities measured at fair value on a recurring basis

The following table represents assets and liabilities reported on the consolidated balance sheets at their fair value on a recurring basis as of June 30, 2019 by level within the fair value measurement hierarchy:

Fair Value Measurements at

Reporting Date Using

(in Thousands)

Quoted

Prices in

Active

Significant

Assets/Liabilities

Markets for

Other

Significant

Measured at

Identical

Observable

Unobservable

Fair Value

Assets

Inputs

Inputs

June 30, 2019

(Level 1)

(Level 2)

(Level 3)

Measured on a recurring basis:

    

    

    

    

    

    

    

    

Assets:

Available for sale debt securities

Residential mortgage-backed securities

$

3,340,220

$

$

3,340,220

$

States and political subdivisions

 

127,693

 

 

127,693

 

Equity Securities

 

6,127

 

6,127

 

 

$

3,474,040

$

6,127

$

3,467,913

$

The following table represents assets and liabilities reported on the consolidated balance sheets at their fair value on a recurring basis as of December 31, 2018 by level within the fair value measurement hierarchy:

Fair Value Measurements at

Reporting Date Using

(in Thousands)

Quoted

Prices in

Active

Significant

Assets/Liabilities

Markets for

Other

Significant

Measured at

Identical

Observable

Unobservable

Fair Value

Assets

Inputs

Inputs

December 31, 2018

(Level 1)

(Level 2)

(Level 3)

Measured on a recurring basis:

    

    

    

    

    

    

    

    

Assets:

Available for sale securities

Residential mortgage - backed securities

$

3,223,010

$

$

3,223,010

$

States and political subdivisions

 

188,340

 

 

188,340

 

Equity Securities

 

5,937

 

5,937

 

 

$

3,417,287

$

5,937

$

3,411,350

$

Assets measured at fair value on a non-recurring basis

The following table represents financial instruments measured at fair value on a non-recurring basis as of and for the period ended June 30, 2019 by level within the fair value measurement hierarchy:

Fair Value Measurements at Reporting

Date Using

(in thousands)

Quoted

Assets/Liabilities

Prices in

Measured at

Active

Significant

Fair Value

Markets for

Other

Significant

Net Provision

Year ended

Identical

Observable

Unobservable

(Credit)

June 30,

Assets

Inputs

Inputs

During

2019

(Level 1)

(Level 2)

(Level 3)

Period

Measured on a non-recurring basis:

    

    

    

    

    

    

    

    

    

    

Assets:

Impaired loans

$

2,999

$

$

$

2,999

$

1,133

Other real estate owned

 

26,703

 

 

 

26,703

 

88

Equity investment without readily determinable fair value

28,166

28,166

4,775

The following table represents financial instruments measured at fair value on a non-recurring basis as of and for the period ended December 31, 2018 by level within the fair value measurement hierarchy:

Fair Value Measurements at Reporting

Date Using

(in thousands)

Quoted

Assets/Liabilities

Prices in

Measured at

Active

Significant

Fair Value

Markets

Other

Significant

Net (Credit)

Year ended

for Identical

Observable

Unobservable

Provision

December 31,

Assets

Inputs

Inputs

During

2018

(Level 1)

(Level 2)

(Level 3)

Period

Measured on a non-recurring basis:

    

    

    

    

    

    

    

    

    

    

Assets:

Impaired loans

$

1,563

$

$

$

1,563

$

356

Other real estate owned

 

38,871

 

 

 

38,871

 

3,071