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INVESTMENT SECURITIES (Tables)
6 Months Ended
Jun. 30, 2022
Investments, Debt and Equity Securities [Abstract]  
Schedule of Amortized Cost and Fair Value of Available-for-Sale Investment Securities
The following table presents the amortized cost and fair value of the investment securities portfolio as of the dates indicated:
($ in thousands)Amortized CostGross Unrealized GainsGross Unrealized LossesFair Value
June 30, 2022
Securities held-to-maturity:
U.S. government agency and U.S. government sponsored enterprise residential mortgage-backed securities$153,621 $— $(18,334)$135,287 
U.S. government agency and U.S. government sponsored enterprise collateralized mortgage obligations61,447 — (8,051)53,396 
Municipal securities114,204 — (17,215)96,989 
Total securities held-to-maturity$329,272 $ $(43,600)$285,672 
Securities available-for-sale:
SBA loan pool securities$13,085 $— $(23)$13,062 
U.S. government agency and U.S. government sponsored enterprise residential mortgage-backed securities12,051 — (686)11,365 
U.S. government agency and U.S. government sponsored enterprise collateralized mortgage obligations160,657 258 (6,862)154,053 
Non-agency residential mortgage-backed securities53,122 — (7,641)45,481 
Collateralized loan obligations492,775 — (14,572)478,203 
Corporate debt securities165,266 973 (2,968)163,271 
Total securities available-for-sale$896,956 $1,231 $(32,752)$865,435 
December 31, 2021
Securities available-for-sale:
SBA loan pool securities$14,679 $— $(88)$14,591 
U.S. government agency and U.S. government sponsored enterprise residential mortgage-backed securities190,382 2,898 (1,311)191,969 
U.S. government agency and U.S. government sponsored enterprise collateralized mortgage obligations242,458 1,171 (2,088)241,541 
Municipal securities117,913 2,641 (1,539)119,015 
Non-agency residential mortgage-backed securities56,014 11 — 56,025 
Collateralized loan obligations521,275 — (2,311)518,964 
Corporate debt securities162,002 11,603 (7)173,598 
Total securities available-for-sale$1,304,723 $18,324 $(7,344)$1,315,703 
Schedule of Proceeds from Sales and Calls of Securities and Associated Gross Gains and Losses
The following table presents proceeds from sales and calls of securities available-for-sale and the associated gross gains and losses realized through earnings upon the sales and calls of securities available-for-sale for the periods indicated:
Three Months Ended
June 30,
Six Months Ended
June 30,
($ in thousands)2022202120222021
Gross realized gains$— $— $209 $— 
Gross realized losses— — (193)— 
Net realized gains on sales and calls$ $ $16 $ 
Proceeds from sales and calls$38,500 $100,230 $56,145 $100,230 
Schedule of Securities Available-for-Sale
The following table summarizes the investment securities available-for-sale with unrealized losses by security type and length of time in a continuous, unrealized loss position as of the dates indicated:
Less Than 12 Months12 Months or LongerTotal
($ in thousands)Fair
Value
Gross Unrealized LossesFair
Value
Gross Unrealized LossesFair
Value
Gross Unrealized Losses
June 30, 2022
Securities available-for-sale:
SBA loan pool securities
$— $— $13,062 $(23)$13,062 $(23)
U.S. government agency and U.S. government sponsored enterprise residential mortgage-backed securities11,365 (686)— — 11,365 (686)
U.S. government agency and U.S. government sponsored enterprise collateralized mortgage obligations
86,032 (4,126)21,159 (2,736)107,191 (6,862)
Non-agency residential mortgage-backed securities
45,481 (7,641)— — 45,481 (7,641)
Collateralized loan obligations
218,486 (6,514)240,717 (8,058)459,203 (14,572)
Corporate debt securities
88,532 (2,968)— — 88,532 (2,968)
Total securities available-for-sale
$449,896 $(21,935)$274,938 $(10,817)$724,834 $(32,752)
December 31, 2021
Securities available-for-sale:
SBA loan pool securities$— $— $14,591 $(88)$14,591 $(88)
U.S. government agency and U.S. government sponsored enterprise residential mortgage-backed securities
67,588 (1,311)— — 67,588 (1,311)
U.S. government agency and U.S. government sponsored enterprise collateralized mortgage obligations
85,290 (1,184)17,754 (904)103,044 (2,088)
Municipal securities
44,748 (919)10,762 (620)55,510 (1,539)
Collateralized loan obligations
81,962 (38)253,002 (2,273)334,964 (2,311)
Corporate debt securities
4,993 (7)— — 4,993 (7)
Total securities available-for-sale
$284,581 $(3,459)$296,109 $(3,885)$580,690 $(7,344)
The following table presents the fair value and weighted average yields using amortized cost of the securities available-for-sale portfolio as of June 30, 2022, based on the earlier of contractual maturity dates or next repricing dates:
One year or lessMore than One Year through Five YearsMore than Five Years through Ten YearsMore than Ten YearsTotal
($ in thousands)Fair
Value
Weighted-Average YieldFair
Value
Weighted-Average YieldFair
Value
Weighted-Average YieldFair
Value
Weighted-Average YieldFair
Value
Weighted-Average Yield
Securities available-for-sale:
SBA loan pool securities$13,062 1.06 %$— — %$— — %$— — %$13,062 1.06 %
U.S. government agency and U.S. government sponsored enterprise residential mortgage-backed securities
— — %— — %11,365 2.23 %— — %11,365 2.23 %
U.S. government agency and U.S. government sponsored enterprise collateralized mortgage obligations
86,602 1.73 %9,630 2.24 %35,518 1.55 %22,303 1.81 %154,053 1.73 %
Non-agency residential mortgage-backed securities
— — %— — %— — %45,481 2.51 %45,481 2.51 %
Collateralized loan obligations
478,203 2.70 %— — %— — %— — %478,203 2.70 %
Corporate debt securities
— — %149,641 4.71 %13,630 5.73 %— — %163,271 4.80 %
Total securities available-for-sale
$577,867 2.52 %$159,271 4.56 %$60,513 2.52 %$67,784 2.29 %$865,435 2.87 %
Schedule of Investments Classified by Contractual Maturity Date
The following table presents the amortized cost and fair value of the investment securities portfolio, based on the earlier of contractual maturity dates or next repricing date, as of June 30, 2022:
Held-to-MaturityAvailable-for-Sale
($ in thousands)Amortized CostFair ValueAmortized CostFair Value
Maturity:
Within one year$— $— $592,364 $577,867 
One to five years— — 162,240 159,271 
Five to ten years19,351 17,134 65,645 60,513 
Greater than ten years309,921 268,538 76,707 67,784 
Total$329,272 $285,672 $896,956 $865,435 
Schedule of Fair Value and Weighted Average Yields of Securities Held-to-Maturity
The following table presents the fair value and weighted average yields using amortized cost of the securities held-to-maturity portfolio as of June 30, 2022, based on the earlier of contractual maturity dates or next repricing dates:
One year or lessMore than One Year through Five YearsMore than Five Years through Ten YearsMore than Ten YearsTotal
($ in thousands)Fair
Value
Weighted-Average YieldFair
Value
Weighted-Average YieldFair
Value
Weighted-Average YieldFair
Value
Weighted-Average YieldFair
Value
Weighted-Average Yield
Securities held-to-maturity:
U.S. government agency and U.S. government sponsored enterprise residential mortgage-backed securities$— — %$— — %$— — %$135,287 2.69 %$135,287 2.69 %
U.S. government agency and U.S. government sponsored enterprise collateralized mortgage obligations— — %— — %— — %53,396 2.64 %53,396 2.64 %
Municipal securities— — %— — %17,134 2.19 %79,855 2.71 %96,989 2.62 %
Total securities held-to-maturity$  %$  %$17,134 2.19 %$268,538 2.68 %$285,672 2.66 %