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Condensed Consolidated Balance Sheets - USD ($)
$ in Thousands
Jun. 30, 2026
Dec. 31, 2025
Assets    
Cash and due from banks $ 11,957 $ 11,749
Interest-bearing deposits in banks 900,810 905,905
Total cash and cash equivalents 912,767 917,654
Restricted cash 15,455 12,783
Securities available for sale at fair value ($4,103,026 and $3,733,780 at amortized cost, respectively) 4,046,761 3,706,709
Loans held for sale at fair value 1,773,052 1,762,396
Loans held for investment at fair value 2,085,066 473,314
Loans and leases held for investment at amortized cost 3,186,145 4,272,812
Allowance for loan and lease losses (192,893) (275,743)
Loans and leases held for investment at amortized cost, net 2,993,252 3,997,069
Property, equipment and software, net 276,454 254,088
Goodwill 75,717 75,717
Other assets 370,516 368,086
Total assets 12,549,040 11,567,816
Deposits:    
Interest-bearing 10,336,236 9,459,483
Noninterest-bearing 429,031 374,387
Total deposits 10,765,267 9,833,870
Other liabilities 216,308 233,518
Total liabilities 10,981,575 10,067,388
Equity    
Common stock, $0.01 par value; 180,000,000 shares authorized; 115,407,464 and 115,368,987 shares issued and outstanding, respectively 1,154 1,154
Additional paid-in capital 1,697,357 1,719,233
Accumulated deficit (92,048) (201,799)
Accumulated other comprehensive loss (38,998) (18,160)
Total equity 1,567,465 1,500,428
Total liabilities and equity $ 12,549,040 $ 11,567,816