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DEBT SECURITIES - Available-for-Sale Investments Classified by Contractual Maturity Date (Details) - USD ($)
$ in Thousands
Jun. 30, 2025
Mar. 31, 2025
Dec. 31, 2024
Jun. 30, 2024
Mar. 31, 2024
Dec. 31, 2023
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost $ 4,931,635   $ 5,125,408      
Gross Unrealized Gains 2,904   183      
Gross Unrealized Losses 437,223   559,768      
Allowance for Credit Losses 513 $ 516 521 $ 549 $ 442 $ 511
Fair value $ 4,496,803   $ 4,565,302      
Weighted-average yield 1.70%   1.45%      
Interest receivable $ 71,548   $ 71,881      
Available-for-Sale Securities [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Interest receivable 8,800   9,600      
Federal Home Loan Bank Borrowings [Member] | Asset Pledged as Collateral [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost 304,400   533,700      
Fair value 265,800   466,100      
U.S. Treasury securities [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost Due within one year 217,634   59,992      
Gross Unrealized Gains Due within one year 12   0      
Gross Unrealized Losses Due within one year 214   803      
Allowance for Credit Losses within one year 0   0      
Fair value Due within one year $ 217,432   $ 59,189      
Weighted-average yield Due within one year 3.94%   0.75%      
U.S. GSE's obligations [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost Due within one year $ 1,027,771   $ 1,090,678      
Gross Unrealized Gains Due within one year 0   0      
Gross Unrealized Losses Due within one year 13,922   22,826      
Allowance for Credit Losses within one year 0   0      
Fair value Due within one year $ 1,013,849   $ 1,067,852      
Weighted-average yield Due within one year 0.73%   0.79%      
Amortized cost After 1 to 5 years $ 546,010   $ 817,835      
Gross Unrealized Gains After 1 to 5 years 26   39      
Gross Unrealized Losses After 1 to 5 years 28,679   53,195      
Allowance for Credit Losses After 1 to 5 years 0   0      
Fair value After 1 to 5 years $ 517,357   $ 764,679      
Weighted-average yield After 1 to 5 years 1.01%   0.96%      
Amortized cost After 10 years $ 7,015   $ 7,835      
Gross Unrealized Gains After 10 years 0   0      
Gross Unrealized Losses After 10 years 12   35      
Allowance for Credit Losses After 10 years 0   0      
Fair value After 10 years $ 7,003   $ 7,800      
Weighted-average yield After 10 years 4.68%   4.73%      
Puerto Rico government obligations [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost After 10 years $ 2,833   $ 2,951      
Gross Unrealized Gains After 10 years 0   0      
Gross Unrealized Losses After 10 years 920   986      
Allowance for Credit Losses After 10 years 337   345      
Fair value After 10 years $ 1,576   $ 1,620      
Weighted-average yield After 10 years 0.00%   0.00%      
Allowance for Credit Losses $ 337 340 $ 345 386 326 395
United States And Puerto Rico Government Obligations [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost 1,801,263   1,979,291      
Gross Unrealized Gains 38   39      
Gross Unrealized Losses 43,747   77,845      
Allowance for Credit Losses 337   345      
Fair value $ 1,757,217   $ 1,901,140      
Weighted-average yield 1.21%   0.87%      
Residential MBS [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost $ 2,892,930   $ 2,922,124      
Gross Unrealized Gains 2,779   131      
Gross Unrealized Losses 355,805   440,826      
Allowance for Credit Losses 176   176      
Fair value $ 2,539,728   $ 2,481,253      
Weighted-average yield 1.95%   1.79%      
Residential MBS [Member] | Freddie Mac (FHLMC) certificates [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost After 1 to 5 years $ 11,321   $ 14,477      
Gross Unrealized Gains After 1 to 5 years 0   0      
Gross Unrealized Losses After 1 to 5 years 274   460      
Allowance for Credit Losses After 1 to 5 years 0   0      
Fair value After 1 to 5 years $ 11,047   $ 14,017      
Weighted-average yield After 1 to 5 years 2.14%   2.14%      
Amortized cost After 5 to 10 years $ 141,349   $ 122,548      
Gross Unrealized Gains After 5 to 10 years 0   0      
Gross Unrealized Losses After 5 to 10 years 10,269   9,977      
Allowance for Credit Losses After 5 to 10 years 0   0      
Fair value After 5 to 10 years $ 131,080   $ 112,571      
Weighted-average yield After 5 to 10 years 1.46%   1.52%      
Amortized cost After 10 years $ 868,484   $ 936,531      
Gross Unrealized Gains After 10 years 428   25      
Gross Unrealized Losses After 10 years 136,249   168,691      
Allowance for Credit Losses After 10 years 0   0      
Fair value After 10 years $ 732,663   $ 767,865      
Weighted-average yield After 10 years 1.58%   1.51%      
Amortized cost $ 1,021,154   $ 1,073,556      
Gross Unrealized Gains 428   25      
Gross Unrealized Losses 146,792   179,128      
Allowance for Credit Losses 0   0      
Fair value $ 874,790   $ 894,453      
Weighted-average yield 1.57%   1.52%      
Residential MBS [Member] | Ginnie Mae (GNMA) certificates [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost Due within one year $ 153   $ 881      
Gross Unrealized Gains Due within one year 0   0      
Gross Unrealized Losses Due within one year 0   6      
Allowance for Credit Losses within one year 0   0      
Fair value Due within one year $ 153   $ 875      
Weighted-average yield Due within one year 2.61%   2.68%      
Amortized cost After 1 to 5 years $ 5,863   $ 8,025      
Gross Unrealized Gains After 1 to 5 years 0   0      
Gross Unrealized Losses After 1 to 5 years 203   350      
Allowance for Credit Losses After 1 to 5 years 0   0      
Fair value After 1 to 5 years $ 5,660   $ 7,675      
Weighted-average yield After 1 to 5 years 0.72%   0.71%      
Amortized cost After 5 to 10 years $ 60,226   $ 67,181      
Gross Unrealized Gains After 5 to 10 years 4   0      
Gross Unrealized Losses After 5 to 10 years 4,414   6,125      
Allowance for Credit Losses After 5 to 10 years 0   0      
Fair value After 5 to 10 years $ 55,816   $ 61,056      
Weighted-average yield After 5 to 10 years 1.74%   1.86%      
Amortized cost After 10 years $ 149,091   $ 142,330      
Gross Unrealized Gains After 10 years 76   16      
Gross Unrealized Losses After 10 years 19,182   22,041      
Allowance for Credit Losses After 10 years 0   0      
Fair value After 10 years $ 129,985   $ 120,305      
Weighted-average yield After 10 years 2.94%   2.78%      
Amortized cost $ 215,333   $ 218,417      
Gross Unrealized Gains 80   16      
Gross Unrealized Losses 23,799   28,522      
Allowance for Credit Losses 0   0      
Fair value $ 191,614   $ 189,911      
Weighted-average yield 2.54%   2.42%      
Residential MBS [Member] | Fannie Mae (FNMA) certificates [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost After 1 to 5 years $ 17,145   $ 21,921      
Gross Unrealized Gains After 1 to 5 years 0   0      
Gross Unrealized Losses After 1 to 5 years 409   689      
Allowance for Credit Losses After 1 to 5 years 0   0      
Fair value After 1 to 5 years $ 16,736   $ 21,232      
Weighted-average yield After 1 to 5 years 2.14%   2.13%      
Amortized cost After 5 to 10 years $ 244,722   $ 244,966      
Gross Unrealized Gains After 5 to 10 years 39   0      
Gross Unrealized Losses After 5 to 10 years 14,920   18,874      
Allowance for Credit Losses After 5 to 10 years 0   0      
Fair value After 5 to 10 years $ 229,841   $ 226,092      
Weighted-average yield After 5 to 10 years 1.77%   1.74%      
Amortized cost After 10 years $ 904,406   $ 979,366      
Gross Unrealized Gains After 10 years 508   16      
Gross Unrealized Losses After 10 years 123,825   159,560      
Allowance for Credit Losses After 10 years 0   0      
Fair value After 10 years $ 781,089   $ 819,822      
Weighted-average yield After 10 years 1.53%   1.51%      
Amortized cost $ 1,166,273   $ 1,246,253      
Gross Unrealized Gains 547   16      
Gross Unrealized Losses 139,154   179,123      
Allowance for Credit Losses 0   0      
Fair value $ 1,027,666   $ 1,067,146      
Weighted-average yield 1.59%   1.56%      
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 $ 484,723   $ 377,812      
Gross Unrealized Gains After 10 years 1,724   74      
Gross Unrealized Losses After 10 years 44,570   52,338      
Allowance for Credit Losses After 10 years 0   0      
Fair value After 10 years $ 441,877   $ 325,548      
Weighted-average yield After 10 years 3.32%   2.88%      
Residential MBS [Member] | Private label [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost After 5 to 10 years $ 5,447   $ 4,886      
Gross Unrealized Gains After 5 to 10 years 0   0      
Gross Unrealized Losses After 5 to 10 years 1,490   1,430      
Allowance for Credit Losses After 5 to 10 years 176   57      
Fair value After 5 to 10 years $ 3,781   $ 3,399      
Weighted-average yield After 5 to 10 years 6.57%   6.69%      
Amortized cost After 10 years     $ 1,200      
Gross Unrealized Gains After 10 years     0      
Gross Unrealized Losses After 10 years     285      
Allowance for Credit Losses After 10 years     119      
Fair value After 10 years     $ 796      
Weighted-average yield After 10 years     6.32%      
Amortized cost     $ 6,086      
Gross Unrealized Gains     0      
Gross Unrealized Losses     1,715      
Allowance for Credit Losses $ 176 $ 176 176 $ 163 $ 116 $ 116
Fair value     $ 4,195      
Weighted-average yield     6.62%      
Commercial Mortgage Backed Securities [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost After 1 to 5 years 33,487   $ 33,835      
Gross Unrealized Gains After 1 to 5 years 10   13      
Gross Unrealized Losses After 1 to 5 years 1,605   2,286      
Allowance for Credit Losses After 1 to 5 years 0   0      
Fair value After 1 to 5 years $ 31,892   $ 31,562      
Weighted-average yield After 1 to 5 years 2.55%   2.59%      
Amortized cost After 5 to 10 years $ 10,479   $ 10,621      
Gross Unrealized Gains After 5 to 10 years 0   0      
Gross Unrealized Losses After 5 to 10 years 1,279   1,653      
Allowance for Credit Losses After 5 to 10 years 0   0      
Fair value After 5 to 10 years $ 9,200   $ 8,968      
Weighted-average yield After 5 to 10 years 1.68%   1.67%      
Amortized cost After 10 years $ 192,976   $ 178,537      
Gross Unrealized Gains After 10 years 77   0      
Gross Unrealized Losses After 10 years 34,787   37,158      
Allowance for Credit Losses After 10 years 0   0      
Fair value After 10 years $ 158,266   $ 141,379      
Weighted-average yield After 10 years 2.39%   2.06%      
Amortized cost $ 236,942   $ 222,993      
Gross Unrealized Gains 87   13      
Gross Unrealized Losses 37,671   41,097      
Allowance for Credit Losses 0   0      
Fair value $ 199,358   $ 181,909      
Weighted-average yield 2.38%   2.12%      
Mortgage Backed Securities [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost $ 3,129,872   $ 3,145,117      
Gross Unrealized Gains 2,866   144      
Gross Unrealized Losses 393,476   481,923      
Allowance for Credit Losses 176   176      
Fair value $ 2,739,086   $ 2,663,162      
Weighted-average yield 1.99%   1.82%      
Other Debt Obligations [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost Due within one year $ 500   $ 1,000      
Gross Unrealized Gains Due within one year 0   0      
Gross Unrealized Losses Due within one year 0   0      
Allowance for Credit Losses within one year 0   0      
Fair value Due within one year $ 500   $ 1,000      
Weighted-average yield Due within one year 2.35%   2.32%      
Uninsured Portion Of Government Deposits [Member] | Asset Pledged as Collateral [Member]            
Schedule Of Available For Sale Securities [Line Items]            
Amortized cost $ 3,100,000   $ 3,300,000      
Fair value $ 2,800,000   $ 3,000,000