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FAIR VALUE OF FINANCIAL INSTRUMENTS (Fair Value By Balance Sheet Location) (Details) - USD ($)
$ in Thousands
Sep. 30, 2022
Dec. 31, 2021
Assets:    
Securities—trading $ 28,383 $ 26,981
Debt Securities, Available-for-sale 2,996,173 3,638,993
Securities—held-to-maturity 947,416 541,853
Securities purchased under agreements to resell 300,000 300,000
Liabilities:    
FHLB advances at fair value 0 50,000
Subordinated notes, net 98,849 98,564
Carrying Value    
Assets:    
Cash and cash equivalents 821,921 2,134,300
Securities—trading 28,383 26,981
Debt Securities, Available-for-sale 2,996,173 3,638,993
Securities purchased under agreements to resell 300,000 300,000
Loans receivable held for sale 84,358 96,487
Loans receivable 9,827,096 9,084,763
Equity securities 657 1,000
FHLB stock 10,000 12,000
Bank-owned life insurance 295,443 244,156
Mortgage servicing rights 15,986 16,045
SBA servicing asset 943 1,161
Investments in limited partnerships 12,139 10,257
Liabilities:    
Demand, interest checking and money market accounts 10,687,611 10,703,586
Regular savings 2,824,711 2,784,716
Certificates of deposit 721,944 838,631
FHLB advances at fair value 0 50,000
Other borrowings 234,006 264,490
Subordinated notes, net   98,564
Junior subordinated debentures at fair value 73,841 119,815
Estimated Fair Value    
Assets:    
Cash and cash equivalents 821,921 2,134,300
Securities—trading 28,383 26,981
Debt Securities, Available-for-sale 2,996,173 3,638,993
Securities purchased under agreements to resell 300,000 300,000
Loans receivable held for sale 84,453 96,914
Loans receivable 9,438,511 9,100,516
Equity securities 657 1,298
FHLB stock 10,000 12,000
Bank-owned life insurance 295,443 244,156
Mortgage servicing rights 35,761 24,393
SBA servicing asset 943 1,161
Investments in limited partnerships 12,139 10,257
Liabilities:    
Demand, interest checking and money market accounts 10,687,611 10,703,586
Regular savings 2,824,711 2,784,716
Certificates of deposit 701,266 836,877
FHLB advances at fair value 0 50,287
Other borrowings 234,006 264,490
Subordinated notes, net 94,889 105,241
Junior subordinated debentures at fair value 73,841 119,815
Interest rate swaps [Member] | Carrying Value    
Assets:    
Derivatives: 38,747 20,826
Liabilities:    
Derivatives: 38,801 11,336
Interest rate swaps [Member] | Carrying Value | Cash Flow Hedging    
Liabilities:    
Derivatives: 19,547 279
Interest rate swaps [Member] | Estimated Fair Value    
Assets:    
Derivatives: 38,747 20,826
Liabilities:    
Derivatives: 38,801 11,336
Interest rate swaps [Member] | Estimated Fair Value | Cash Flow Hedging    
Liabilities:    
Derivatives: 19,547 279
Interest Rate Forward Sales Commitments [Member] | Carrying Value    
Assets:    
Derivatives: 1,023 1,555
Liabilities:    
Derivatives: 247 140
Interest Rate Forward Sales Commitments [Member] | Estimated Fair Value    
Assets:    
Derivatives: 1,023 1,555
Liabilities:    
Derivatives: 247 140
Loan Participations and Assignments | Carrying Value    
Liabilities:    
Derivatives: 68 0
Loan Participations and Assignments | Estimated Fair Value    
Liabilities:    
Derivatives: 68 0
Fair Value, Inputs, Level 2 [Member] | Carrying Value    
Assets:    
Securities—held-to-maturity 1,124,017 464,008
Fair Value, Inputs, Level 2 [Member] | Estimated Fair Value    
Assets:    
Securities—held-to-maturity 938,167 484,483
Fair Value, Inputs, Level 3 [Member] | Carrying Value    
Assets:    
Securities—held-to-maturity 9,229 57,347
Fair Value, Inputs, Level 3 [Member] | Estimated Fair Value    
Assets:    
Securities—held-to-maturity $ 9,249 $ 57,370