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Fair Value Measurements - Carrying Amounts and Estimated Fair Values of Financial Instruments (Details)
$ in Thousands
Dec. 31, 2025
USD ($)
Dec. 31, 2024
USD ($)
Financial Assets:    
Investment securities HTM $ 227,024 $ 231,124
Equity investments without readily determinable fair values 38,016 35,625
OREO | Non-recurring basis    
Estimated fair values of financial instruments    
Assets 365  
Level 1 | OREO | Non-recurring basis    
Estimated fair values of financial instruments    
Assets 0  
Level 1 | Carrying Amount    
Financial Assets:    
Cash and cash equivalents 560,059 458,199
Financial Liabilities:    
Convertible notes, net 444 444
Level 1 | Estimated Fair Value    
Financial Assets:    
Cash and cash equivalents 560,059 458,199
Financial Liabilities:    
Convertible notes, net 433 438
Level 2/3 | Carrying Amount    
Financial Assets:    
Accrued interest receivable 52,211 51,169
Level 2/3 | Estimated Fair Value    
Financial Assets:    
Accrued interest receivable 52,211 51,169
Level 2 | OREO | Non-recurring basis    
Estimated fair values of financial instruments    
Assets 0  
Level 2 | Carrying Amount    
Financial Assets:    
Investment securities HTM 239,782 252,385
Equity investments without readily determinable fair values 38,016  
Loans held for sale 86,905 14,491
Customers’ liabilities on acceptances 486 484
Financial Liabilities:    
Noninterest bearing deposits 3,371,759 3,377,950
Money market, interest bearing demand and savings deposits 5,856,373 5,175,735
Time deposits 6,375,011 5,773,804
FHLB and FRB borrowings, Fair Value Disclosure 284,922  
FHLB borrowings   239,000
Subordinated debentures 110,518 109,140
Accrued interest payable 78,310 93,784
Acceptances outstanding 486 484
Level 2 | Estimated Fair Value    
Financial Assets:    
Investment securities HTM 227,024 231,124
Equity investments without readily determinable fair values 38,016 35,625
Loans held for sale 86,975 14,504
Customers’ liabilities on acceptances 486 484
Financial Liabilities:    
Noninterest bearing deposits 3,371,759 3,377,950
Money market, interest bearing demand and savings deposits 5,856,373 5,175,735
Time deposits 6,376,442 5,782,223
FHLB and FRB borrowings, Fair Value Disclosure 285,303  
FHLB borrowings   239,358
Subordinated debentures 112,167 105,729
Accrued interest payable 78,310 93,784
Acceptances outstanding 486 484
Level 3 | Collateral dependent loans | Non-recurring basis | Sales price | Collateral fair value    
Estimated fair values of financial instruments    
Assets 17,878 $ 7,963
Alternative Investment, Measurement Input   0.085
Level 3 | Collateral dependent loans | Non-recurring basis | Sales price | Collateral fair value | Weighted Average    
Estimated fair values of financial instruments    
Alternative Investment, Measurement Input   0.085
Level 3 | Collateral dependent loans | Non-recurring basis | Sales price | Enterprise value    
Estimated fair values of financial instruments    
Assets 1,344  
Level 3 | Collateral dependent loans | Non-recurring basis | Discount rate | Asset fair value    
Estimated fair values of financial instruments    
Assets $ 6,204 $ 21,320
Level 3 | Collateral dependent loans | Non-recurring basis | Discount rate | Asset fair value | Minimum    
Estimated fair values of financial instruments    
Alternative Investment, Measurement Input 0.225 0.101
Level 3 | Collateral dependent loans | Non-recurring basis | Discount rate | Asset fair value | Maximum    
Estimated fair values of financial instruments    
Alternative Investment, Measurement Input 0.737 0.912
Level 3 | Collateral dependent loans | Non-recurring basis | Discount rate | Asset fair value | Weighted Average    
Estimated fair values of financial instruments    
Alternative Investment, Measurement Input 0.352 0.388
Level 3 | Collateral dependent loans | Non-recurring basis | Revenue and EBITDA Multiple | Enterprise value    
Estimated fair values of financial instruments    
Assets $ 8,986 $ 10,336
Alternative Investment, Measurement Input   8.0
Level 3 | Collateral dependent loans | Non-recurring basis | Revenue and EBITDA Multiple | Enterprise value | Weighted Average    
Estimated fair values of financial instruments    
Alternative Investment, Measurement Input   8.0
Level 3 | Collateral dependent loans | Non-recurring basis | EBITDA Multiple | Enterprise value    
Estimated fair values of financial instruments    
Assets   $ 2,359
Alternative Investment, Measurement Input 5.2 5.2
Level 3 | Collateral dependent loans | Non-recurring basis | EBITDA Multiple | Enterprise value | Weighted Average    
Estimated fair values of financial instruments    
Alternative Investment, Measurement Input 5.2 5.2
Level 3 | Collateral dependent loans | Non-recurring basis | Enterprise, Revenue Multiple | Enterprise value    
Estimated fair values of financial instruments    
Alternative Investment, Measurement Input   1.0
Level 3 | Collateral dependent loans | Non-recurring basis | Enterprise, Revenue Multiple | Enterprise value | Weighted Average    
Estimated fair values of financial instruments    
Alternative Investment, Measurement Input   1.0
Level 3 | OREO | Non-recurring basis    
Estimated fair values of financial instruments    
Assets $ 365  
Level 3 | OREO | Non-recurring basis | Sales price | Property fair value    
Estimated fair values of financial instruments    
Assets $ 365  
Alternative Investment, Measurement Input 0.0850  
Level 3 | OREO | Non-recurring basis | Sales price | Property fair value | Weighted Average    
Estimated fair values of financial instruments    
Alternative Investment, Measurement Input 0.085  
Level 3 | Carrying Amount    
Financial Assets:    
Loans receivable, net $ 14,544,351 $ 13,467,745
Servicing assets, net 12,954 10,051
Level 3 | Estimated Fair Value    
Financial Assets:    
Loans receivable, net 14,276,764 13,179,753
Servicing assets, net $ 22,060 $ 19,113