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DEBT SECURITIES - Investment Securities Available for Sale (Detail) - USD ($)
$ in Thousands
Jun. 30, 2024
Mar. 31, 2024
Dec. 31, 2023
Jun. 30, 2023
Mar. 31, 2023
Dec. 31, 2022
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost $ 5,595,164   $ 5,863,294      
Gross Unrealized Gains 186   250      
Gross Unrealized Losses 637,490   633,049      
Allowance for Credit Losses 549 $ 442 511 $ 433 $ 449 $ 458
Fair value $ 4,957,311   $ 5,229,984      
Weighted-average yield 1.26%   1.24%      
Interest receivable $ 77,895   $ 77,716      
Available-for-sale Securities [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Interest receivable 10,000   10,600      
Federal Home Loan Bank Borrowings [Member] | Asset Pledged as Collateral [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost 538,500   527,200      
Fair value 465,500   477,900      
U.S. Treasury securities [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost Due within one year 100,370   80,314      
Gross Unrealized Gains Due within one year 0   0      
Gross Unrealized Losses Due within one year 2,156   2,144      
Allowance for Credit Losses within one year 0   0      
Fair value Due within one year $ 98,214   $ 78,170      
Weighted-average yield Due within one year 0.70%   0.66%      
Amortized cost After 1 to 5 years $ 19,901   $ 60,239      
Gross Unrealized Gains After 1 to 5 years 0   0      
Gross Unrealized Losses After 1 to 5 years 1,042   3,016      
Allowance for Credit Losses After 1 to 5 years 0   0      
Fair value After 1 to 5 years $ 18,859   $ 57,223      
Weighted-average yield After 1 to 5 years 0.65%   0.75%      
U.S. GSE's obligations [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost Due within one year $ 782,777   $ 542,847      
Gross Unrealized Gains Due within one year 0   0      
Gross Unrealized Losses Due within one year 16,859   15,832      
Allowance for Credit Losses within one year 0   0      
Fair value Due within one year $ 765,918   $ 527,015      
Weighted-average yield Due within one year 0.91%   0.77%      
Amortized cost After 1 to 5 years $ 1,564,870   $ 1,899,620      
Gross Unrealized Gains After 1 to 5 years 51   49      
Gross Unrealized Losses After 1 to 5 years 111,755   135,347      
Allowance for Credit Losses After 1 to 5 years 0   0      
Fair value After 1 to 5 years $ 1,453,166   $ 1,764,322      
Weighted-average yield After 1 to 5 years 0.82%   0.86%      
Amortized cost After 5 to 10 years $ 8,850   $ 8,850      
Gross Unrealized Gains After 5 to 10 years 0   0      
Gross Unrealized Losses After 5 to 10 years 750   687      
Allowance for Credit Losses After 5 to 10 years 0   0      
Fair value After 5 to 10 years $ 8,100   $ 8,163      
Weighted-average yield After 5 to 10 years 2.64%   2.64%      
Amortized cost After 10 years $ 8,228   $ 8,891      
Gross Unrealized Gains After 10 years 15   8      
Gross Unrealized Losses After 10 years 0   2      
Allowance for Credit Losses After 10 years 0   0      
Fair value After 10 years $ 8,243   $ 8,897      
Weighted-average yield After 10 years 5.69%   5.49%      
Puerto Rico government obligations [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost After 10 years $ 3,084   $ 3,156      
Gross Unrealized Gains After 10 years 0   0      
Gross Unrealized Losses After 10 years 1,166   1,346      
Allowance for Credit Losses After 10 years 386   395      
Fair value After 10 years $ 1,532   $ 1,415      
Weighted-average yield After 10 years 0.00%   0.00%      
Allowance for Credit Losses $ 386 $ 326 $ 395 $ 350 $ 366 $ 375
United States And Puerto Rico Government Obligations [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost 2,488,080   2,603,917      
Gross Unrealized Gains 66   57      
Gross Unrealized Losses 133,728   158,374      
Allowance for Credit Losses 386   395      
Fair value $ 2,354,032   $ 2,445,205      
Weighted-average yield 0.86%   0.85%      
Residential MBS [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost $ 2,893,532   $ 3,069,139      
Gross Unrealized Gains 111   193      
Gross Unrealized Losses 462,515   436,055      
Allowance for Credit Losses 163   116      
Fair value $ 2,430,965   $ 2,633,161      
Weighted-average yield 1.55%   1.55%      
Residential MBS [Member] | Freddie Mac (FHLMC) certificates [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost Due within one year $ 4          
Gross Unrealized Gains Due within one year 0          
Gross Unrealized Losses Due within one year 0          
Allowance for Credit Losses within one year 0          
Fair value Due within one year $ 4          
Weighted-average yield Due within one year 4.31%          
Amortized cost After 1 to 5 years $ 16,204   $ 19,561      
Gross Unrealized Gains After 1 to 5 years 0   0      
Gross Unrealized Losses After 1 to 5 years 754   868      
Allowance for Credit Losses After 1 to 5 years 0   0      
Fair value After 1 to 5 years $ 15,450   $ 18,693      
Weighted-average yield After 1 to 5 years 2.06%   2.06%      
Amortized cost After 5 to 10 years $ 138,723   $ 153,308      
Gross Unrealized Gains After 5 to 10 years 0   0      
Gross Unrealized Losses After 5 to 10 years 12,739   12,721      
Allowance for Credit Losses After 5 to 10 years 0   0      
Fair value After 5 to 10 years $ 125,984   $ 140,587      
Weighted-average yield After 5 to 10 years 1.55%   1.55%      
Amortized cost After 10 years $ 948,539   $ 991,060      
Gross Unrealized Gains After 10 years 6   15      
Gross Unrealized Losses After 10 years 172,740   161,197      
Allowance for Credit Losses After 10 years 0   0      
Fair value After 10 years $ 775,805   $ 829,878      
Weighted-average yield After 10 years 1.41%   1.41%      
Amortized cost $ 1,103,470   $ 1,163,929      
Gross Unrealized Gains 6   15      
Gross Unrealized Losses 186,233   174,786      
Allowance for Credit Losses 0   0      
Fair value $ 917,243   $ 989,158      
Weighted-average yield 1.44%   1.44%      
Residential MBS [Member] | Ginnie Mae (GNMA) certificates [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost Due within one year $ 841   $ 254      
Gross Unrealized Gains Due within one year 0   0      
Gross Unrealized Losses Due within one year 8   3      
Allowance for Credit Losses within one year 0   0      
Fair value Due within one year $ 833   $ 251      
Weighted-average yield Due within one year 3.29%   3.27%      
Amortized cost After 1 to 5 years $ 11,837   $ 16,882      
Gross Unrealized Gains After 1 to 5 years 0   0      
Gross Unrealized Losses After 1 to 5 years 648   872      
Allowance for Credit Losses After 1 to 5 years 0   0      
Fair value After 1 to 5 years $ 11,189   $ 16,010      
Weighted-average yield After 1 to 5 years 0.93%   1.19%      
Amortized cost After 5 to 10 years $ 31,168   $ 27,916      
Gross Unrealized Gains After 5 to 10 years 2   8      
Gross Unrealized Losses After 5 to 10 years 2,783   2,247      
Allowance for Credit Losses After 5 to 10 years 0   0      
Fair value After 5 to 10 years $ 28,387   $ 25,677      
Weighted-average yield After 5 to 10 years 1.77%   1.62%      
Amortized cost After 10 years $ 191,483   $ 206,254      
Gross Unrealized Gains After 10 years 101   87      
Gross Unrealized Losses After 10 years 25,966   22,786      
Allowance for Credit Losses After 10 years 0   0      
Fair value After 10 years $ 165,618   $ 183,555      
Weighted-average yield After 10 years 2.65%   2.57%      
Amortized cost $ 235,329   $ 251,306      
Gross Unrealized Gains 103   95      
Gross Unrealized Losses 29,405   25,908      
Allowance for Credit Losses 0   0      
Fair value $ 206,027   $ 225,493      
Weighted-average yield 2.45%   2.38%      
Residential MBS [Member] | Fannie Mae (FNMA) certificates [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost After 1 to 5 years $ 26,921   $ 32,489      
Gross Unrealized Gains After 1 to 5 years 0   0      
Gross Unrealized Losses After 1 to 5 years 1,236   1,423      
Allowance for Credit Losses After 1 to 5 years 0   0      
Fair value After 1 to 5 years $ 25,685   $ 31,066      
Weighted-average yield After 1 to 5 years 2.11%   2.11%      
Amortized cost After 5 to 10 years $ 272,851   $ 293,492      
Gross Unrealized Gains After 5 to 10 years 0   0      
Gross Unrealized Losses After 5 to 10 years 23,789   23,146      
Allowance for Credit Losses After 5 to 10 years 0   0      
Fair value After 5 to 10 years $ 249,062   $ 270,346      
Weighted-average yield After 5 to 10 years 1.74%   1.70%      
Amortized cost After 10 years $ 988,450   $ 1,047,298      
Gross Unrealized Gains After 10 years 2   83      
Gross Unrealized Losses After 10 years 165,091   156,344      
Allowance for Credit Losses After 10 years 0   0      
Fair value After 10 years $ 823,361   $ 891,037      
Weighted-average yield After 10 years 1.36%   1.37%      
Amortized cost $ 1,288,222   $ 1,373,279      
Gross Unrealized Gains 2   83      
Gross Unrealized Losses 190,116   180,913      
Allowance for Credit Losses 0   0      
Fair value $ 1,098,108   $ 1,192,449      
Weighted-average yield 1.45%   1.46%      
Residential MBS [Member] | Collateralized mortgage obligations ("CMOs") issued or guaranteed by FHLMC, FNMA and GNMA [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost After 10 years $ 259,830   $ 273,539      
Gross Unrealized Gains After 10 years 0   0      
Gross Unrealized Losses After 10 years 54,810   52,263      
Allowance for Credit Losses After 10 years 0   0      
Fair value After 10 years $ 205,020   $ 221,276      
Weighted-average yield After 10 years 1.52%   1.54%      
Residential MBS [Member] | Private label [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost After 5 to 10 years $ 1,322          
Gross Unrealized Gains After 5 to 10 years 0          
Gross Unrealized Losses After 5 to 10 years 317          
Allowance for Credit Losses After 5 to 10 years 5          
Fair value After 5 to 10 years $ 1,000          
Weighted-average yield After 5 to 10 years 8.93%          
Amortized cost After 10 years $ 5,359   $ 7,086      
Gross Unrealized Gains After 10 years 0   0      
Gross Unrealized Losses After 10 years 1,634   2,185      
Allowance for Credit Losses After 10 years 158   116      
Fair value After 10 years $ 3,567   $ 4,785      
Weighted-average yield After 10 years 7.34%   7.66%      
Amortized cost $ 6,681          
Gross Unrealized Gains 0          
Gross Unrealized Losses 1,951          
Allowance for Credit Losses 163   $ 100      
Fair value $ 4,567          
Weighted-average yield 7.65%          
Commercial Mortgage Backed Securities [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost After 1 to 5 years $ 44,240   45,022      
Gross Unrealized Gains After 1 to 5 years 9   0      
Gross Unrealized Losses After 1 to 5 years 7,121   6,898      
Allowance for Credit Losses After 1 to 5 years 0   0      
Fair value After 1 to 5 years $ 37,128   $ 38,124      
Weighted-average yield After 1 to 5 years 2.18%   2.17%      
Amortized cost After 5 to 10 years $ 22,121   $ 22,386      
Gross Unrealized Gains After 5 to 10 years 0   0      
Gross Unrealized Losses After 5 to 10 years 2,795   2,685      
Allowance for Credit Losses After 5 to 10 years 0   0      
Fair value After 5 to 10 years $ 19,326   $ 19,701      
Weighted-average yield After 5 to 10 years 2.16%   2.16%      
Amortized cost After 10 years $ 146,191   $ 122,830      
Gross Unrealized Gains After 10 years 0   0      
Gross Unrealized Losses After 10 years 31,331   29,037      
Allowance for Credit Losses After 10 years 0   0      
Fair value After 10 years $ 114,860   $ 93,793      
Weighted-average yield After 10 years 1.98%   1.36%      
Amortized cost $ 212,552   $ 190,238      
Gross Unrealized Gains 9   0      
Gross Unrealized Losses 41,247   38,620      
Allowance for Credit Losses 0   0      
Fair value $ 171,314   $ 151,618      
Weighted-average yield 2.04%   1.64%      
Mortgage Backed Securities [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost $ 3,106,084   $ 3,259,377      
Gross Unrealized Gains 120   193      
Gross Unrealized Losses 503,762   474,675      
Allowance for Credit Losses 163   116      
Fair value $ 2,602,279   $ 2,784,779      
Weighted-average yield 1.58%   1.55%      
Other Debt Obligations [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost Due within one year $ 500          
Gross Unrealized Gains Due within one year 0          
Gross Unrealized Losses Due within one year 0          
Allowance for Credit Losses within one year 0          
Fair value Due within one year $ 500          
Weighted-average yield Due within one year 2.35%          
Amortized cost After 1 to 5 years $ 500          
Gross Unrealized Gains After 1 to 5 years 0          
Gross Unrealized Losses After 1 to 5 years 0          
Allowance for Credit Losses After 1 to 5 years 0          
Fair value After 1 to 5 years $ 500          
Weighted-average yield After 1 to 5 years 2.35%          
Amortized cost $ 1,000          
Gross Unrealized Gains 0          
Gross Unrealized Losses 0          
Allowance for Credit Losses 0          
Fair value $ 1,000          
Weighted-average yield 2.35%          
Unisured Portion Of Government Deposits [Member] | Asset Pledged as Collateral [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost $ 3,100,000   $ 3,200,000      
Fair value $ 2,700,000   $ 2,800,000