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Securities Held-to-Maturity (Tables)
12 Months Ended
Dec. 31, 2021
Securities Held-to-Maturity  
Schedule of securities held-to-maturity

A summary of our securities held-to-maturity is as follows (in thousands):

Net Carrying

Unrealized 

Estimated 

Allowance for

    

Face Value

    

Value

    

Gain/(Loss)

    

Fair Value

    

Credit Losses

December 31, 2021

APL certificates

$

149,368

$

92,869

$

5,007

$

97,876

$

1,422

B Piece bonds

61,360

47,615

4,420

52,035

331

Total

$

210,728

$

140,484

$

9,427

$

149,911

$

1,753

December 31, 2020

APL certificates

$

63,627

$

37,685

$

(2,105)

$

35,580

$

1,023

B Piece bonds

76,497

57,839

709

58,548

621

Total

$

140,124

$

95,524

$

(1,396)

$

94,128

$

1,644

Schedule of changes in the allowance for credit losses

A summary of the changes in the allowance for credit losses for our securities held-to-maturity is as follows (in thousands):

Year Ended December 31, 2021

APL

B Piece

Certificates

Bonds

Total

Beginning balance

$

1,023

$

621

$

1,644

Provision for credit loss expense/(reversal)

 

399

 

(290)

 

109

Ending balance

$

1,422

$

331

$

1,753