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FAIR VALUE OF FINANCIAL INSTRUMENTS (Qualitative Information for Assets and Liabilities) (Details)
$ in Thousands
12 Months Ended
Dec. 31, 2023
USD ($)
Dec. 31, 2022
USD ($)
Dec. 31, 2021
USD ($)
Dec. 31, 2020
USD ($)
Fair Value        
Fair value of servicing asset $ 49,520 $ 50,921 $ 48,973 $ 47,295
Foreclosed real estate 10,780 11,214 $ 15,039 $ 11,596
Other repossessed assets $ 4,032 $ 4,617    
Minimum        
Unobservable Input        
Constant prepayment rate 1.35% 3.43% 3.90%  
Discount rate 10.00% 10.00% 10.00%  
Maximum        
Unobservable Input        
Constant prepayment rate 17.34% 21.20% 24.48%  
Discount rate 15.50% 15.50% 15.50%  
Level 3 | Cash flow valuation | Other debt securities available for sale        
Fair Value        
Investment securities available-for-sale   $ 406    
Level 3 | Cash flow valuation | Other debt securities available for sale | Recovery Rate        
Unobservable Input        
Other debt securities, measurement input   0.3473    
Level 3 | Cash flow valuation | Servicing Assets        
Fair Value        
Fair value of servicing asset $ 49,520 $ 50,921    
Level 3 | Cash flow valuation | Minimum | Other debt securities available for sale        
Unobservable Input        
Credit rating   Baa1    
Level 3 | Cash flow valuation | Minimum | Other debt securities available for sale | Probability of Default Rate        
Unobservable Input        
Other debt securities, measurement input   0.0015    
Level 3 | Cash flow valuation | Minimum | Servicing Assets        
Unobservable Input        
Constant prepayment rate 1.35% 3.43%    
Discount rate 10.00% 10.00%    
Level 3 | Cash flow valuation | Maximum | Other debt securities available for sale        
Unobservable Input        
Credit rating   Baa3    
Level 3 | Cash flow valuation | Maximum | Other debt securities available for sale | Probability of Default Rate        
Unobservable Input        
Other debt securities, measurement input   0.0212    
Level 3 | Cash flow valuation | Maximum | Servicing Assets        
Unobservable Input        
Constant prepayment rate 17.34% 21.20%    
Discount rate 15.50% 15.50%    
Level 3 | Cash flow valuation | Weighted Average | Other debt securities available for sale        
Unobservable Input        
Credit rating   Baa2    
Level 3 | Cash flow valuation | Weighted Average | Other debt securities available for sale | Probability of Default Rate        
Unobservable Input        
Other debt securities, measurement input   0.0015    
Level 3 | Cash flow valuation | Weighted Average | Other debt securities available for sale | Recovery Rate        
Unobservable Input        
Other debt securities, measurement input   0.3473    
Level 3 | Cash flow valuation | Weighted Average | Servicing Assets        
Unobservable Input        
Constant prepayment rate 6.12% 5.66%    
Discount rate 11.45% 11.45%    
Level 3 | Fair value of property or collateral | Collateral dependent loans        
Fair Value        
Collateral dependent loans $ 8,027 $ 8,805    
Level 3 | Fair value of property or collateral | Foreclosed real estate        
Fair Value        
Foreclosed real estate 10,780 11,214    
Level 3 | Fair value of property or collateral | Other repossessed assets        
Fair Value        
Other repossessed assets $ 4,032 4,617    
Level 3 | Fair value of property or collateral | Mortgage loans held for sale        
Fair Value        
Mortgage loans held for sale   $ 19,499    
Level 3 | Fair value of property or collateral | Minimum | Collateral dependent loans        
Unobservable Input        
Appraised value less disposition costs 10.20% 10.20%    
Level 3 | Fair value of property or collateral | Minimum | Foreclosed real estate        
Unobservable Input        
Appraised value less disposition costs 10.20% 10.20%    
Level 3 | Fair value of property or collateral | Minimum | Other repossessed assets        
Unobservable Input        
Estimated net realizable value 31.00% 22.00%    
Level 3 | Fair value of property or collateral | Minimum | Mortgage loans held for sale        
Unobservable Input        
Estimated net realizable value   83.25%    
Level 3 | Fair value of property or collateral | Maximum | Collateral dependent loans        
Unobservable Input        
Appraised value less disposition costs 33.20% 51.20%    
Level 3 | Fair value of property or collateral | Maximum | Foreclosed real estate        
Unobservable Input        
Appraised value less disposition costs 33.20% 33.20%    
Level 3 | Fair value of property or collateral | Maximum | Other repossessed assets        
Unobservable Input        
Estimated net realizable value 77.00% 80.00%    
Level 3 | Fair value of property or collateral | Maximum | Mortgage loans held for sale        
Unobservable Input        
Estimated net realizable value   102.43%    
Level 3 | Fair value of property or collateral | Weighted Average | Collateral dependent loans        
Unobservable Input        
Appraised value less disposition costs 17.00% 17.11%    
Level 3 | Fair value of property or collateral | Weighted Average | Foreclosed real estate        
Unobservable Input        
Appraised value less disposition costs 12.67% 11.81%    
Level 3 | Fair value of property or collateral | Weighted Average | Other repossessed assets        
Unobservable Input        
Estimated net realizable value 57.72% 58.49%    
Level 3 | Fair value of property or collateral | Weighted Average | Mortgage loans held for sale        
Unobservable Input        
Estimated net realizable value   71.86%    
Level 3 | Bids or sales contract prices | Commercial        
Fair Value        
Other loans held for sale $ 28,345 $ 21,088    
Level 3 | Bids or sales contract prices | Minimum | Commercial        
Unobservable Input        
Estimated market value 52.00% 100.00%    
Level 3 | Bids or sales contract prices | Maximum | Commercial        
Unobservable Input        
Estimated market value 103.20% 103.20%    
Level 3 | Bids or sales contract prices | Weighted Average | Commercial        
Unobservable Input        
Estimated market value 84.80% 74.65%