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INVESTMENT SECURITIES - Composition, Repricing and Yield Information of Investment Securities Portfolio (Details)
$ in Thousands
Jun. 30, 2023
USD ($)
Fair Value  
One year or less $ 497,279
More than One Year through Five Years 144,892
More than Five Years through Ten Years 34,914
More than Ten Years 245,006
Total $ 922,091
Weighted-Average Yield  
One year or less 6.81%
More than One Year through Five Years 4.76%
More than Five Years through Ten Years 3.95%
More than Ten Years 4.70%
Total 5.77%
Amortized Cost  
One year or less $ 0
More than One Year through Five Years 0
More than Five Years through Ten Years 37,339
More than Ten Years 291,066
Total $ 328,405
Weighted-Average Yield  
One year or less 0.00%
More than One Year through Five Years 0.00%
More than Five Years through Ten Years 2.37%
More than Ten Years 2.69%
Total 2.66%
SBA loan pool securities  
Fair Value  
One year or less $ 9,215
More than One Year through Five Years 0
More than Five Years through Ten Years 0
More than Ten Years 0
Total $ 9,215
Weighted-Average Yield  
One year or less 3.87%
More than One Year through Five Years 0.00%
More than Five Years through Ten Years 0.00%
More than Ten Years 0.00%
Total 3.87%
U.S. government agency and U.S. government sponsored enterprise residential mortgage-backed securities  
Fair Value  
One year or less $ 0
More than One Year through Five Years 0
More than Five Years through Ten Years 0
More than Ten Years 81,708
Total $ 81,708
Weighted-Average Yield  
One year or less 0.00%
More than One Year through Five Years 0.00%
More than Five Years through Ten Years 0.00%
More than Ten Years 5.54%
Total 5.54%
Amortized Cost  
One year or less $ 0
More than One Year through Five Years 0
More than Five Years through Ten Years 9,344
More than Ten Years 143,499
Total $ 152,843
Weighted-Average Yield  
One year or less 0.00%
More than One Year through Five Years 0.00%
More than Five Years through Ten Years 2.52%
More than Ten Years 2.70%
Total 2.69%
U.S. government agency and U.S. government sponsored enterprise collateralized mortgage obligations  
Fair Value  
One year or less $ 5,233
More than One Year through Five Years 7,795
More than Five Years through Ten Years 24,442
More than Ten Years 51,790
Total $ 89,260
Weighted-Average Yield  
One year or less 5.70%
More than One Year through Five Years 3.61%
More than Five Years through Ten Years 3.14%
More than Ten Years 5.19%
Total 4.45%
Amortized Cost  
One year or less $ 0
More than One Year through Five Years 0
More than Five Years through Ten Years 0
More than Ten Years 61,359
Total $ 61,359
Weighted-Average Yield  
One year or less 0.00%
More than One Year through Five Years 0.00%
More than Five Years through Ten Years 0.00%
More than Ten Years 2.64%
Total 2.64%
Non-agency residential mortgage-backed securities  
Fair Value  
One year or less $ 0
More than One Year through Five Years 0
More than Five Years through Ten Years 0
More than Ten Years 111,508
Total $ 111,508
Weighted-Average Yield  
One year or less 0.00%
More than One Year through Five Years 0.00%
More than Five Years through Ten Years 0.00%
More than Ten Years 3.92%
Total 3.92%
Collateralized loan obligations  
Fair Value  
One year or less $ 482,831
More than One Year through Five Years 0
More than Five Years through Ten Years 0
More than Ten Years 0
Total $ 482,831
Weighted-Average Yield  
One year or less 6.88%
More than One Year through Five Years 0.00%
More than Five Years through Ten Years 0.00%
More than Ten Years 0.00%
Total 6.88%
Corporate debt securities  
Fair Value  
One year or less $ 0
More than One Year through Five Years 137,097
More than Five Years through Ten Years 10,472
More than Ten Years 0
Total $ 147,569
Weighted-Average Yield  
One year or less 0.00%
More than One Year through Five Years 4.82%
More than Five Years through Ten Years 5.73%
More than Ten Years 0.00%
Total 4.89%
Municipal securities  
Amortized Cost  
One year or less $ 0
More than One Year through Five Years 0
More than Five Years through Ten Years 27,995
More than Ten Years 86,208
Total $ 114,203
Weighted-Average Yield  
One year or less 0.00%
More than One Year through Five Years 0.00%
More than Five Years through Ten Years 2.32%
More than Ten Years 2.72%
Total 2.62%