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Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2023
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities, Measured on Recurring Basis
The following tables summarize the balances of assets and liabilities measured at fair value on a recurring basis at the dates indicated:
December 31, 2023
TotalLevel 1Level 2Level 3
(Dollars in thousands)
Assets
Investment securities available for sale:
U.S. government and agency securities$13,750 $— $13,750 $— 
Municipal securities79,525 — 79,525 — 
Residential CMO and MBS(1)
512,049 — 512,049 — 
Commercial CMO and MBS(1)
504,258 — 504,258 — 
Corporate obligations7,613 — 7,613 — 
Other asset-backed securities17,158 — 17,158 — 
Total investment securities available for sale1,134,353 — 1,134,353 — 
Equity security314 314 — — 
December 31, 2023
TotalLevel 1Level 2Level 3
(Dollars in thousands)
Derivative assets - interest rate swaps23,195 — 23,195 — 
Liabilities
Derivative liabilities - interest rate swaps$23,195 $— $23,195 $— 
(1) U.S. government agency and government-sponsored enterprise CMO and MBS.
December 31, 2022
TotalLevel 1Level 2Level 3
(Dollars in thousands)
Assets
Investment securities available for sale:
U.S. government and agency securities$63,859 $19,779 $44,080 $— 
Municipal securities153,026 5,399 147,627 — 
Residential CMO and MBS(1)
424,386 — 424,386 — 
Commercial CMO and MBS(1)
664,421 — 664,421 — 
Corporate obligations3,834 — 3,834 — 
Other asset-backed securities21,917 — 21,917 — 
Total investment securities available for sale1,331,443 25,178 1,306,265 — 
Equity security185 185 — — 
Derivative assets - interest rate swaps30,107 — 30,107 — 
Liabilities
Derivative liabilities - interest rate swaps$30,107 $— $30,107 $— 
(1) U.S. government agency and government-sponsored enterprise CMO and MBS.
Schedule of Fair Value, Assets, Nonrecurring Basis The following tables presents assets measured at fair value on a nonrecurring basis at the dates indicated:
Fair Value at December 31, 2023
TotalLevel 1Level 2Level 3
Collateral-dependent loans:
Commercial business:
Owner-occupied CRE$173 $— $— $173 
Total assets measured at fair value on a nonrecurring basis$173 $— $— $173 

Fair Value at December 31, 2022
TotalLevel 1Level 2Level 3
Collateral-dependent loans:
Commercial business:
Owner-occupied CRE$182 $— $— $182 
Total assets measured at fair value on a nonrecurring basis$182 $— $— $182 
Schedule of Fair Value Measurements, Non-recurring Basis, Level 3
The following tables present quantitative information about Level 3 fair value measurements for financial instruments measured at fair value on a non-recurring basis at the dates indicated:
December 31, 2023
Fair
Value
Valuation
Technique(s)
Unobservable Input(s)Range of Inputs
Weighted Average(1)
(Dollars in thousands)
Collateral-dependent loans$173 Market approachAdjustments to reflect current conditions and selling costs
16.5% - 16.5%
16.5%
(1) Weighted by net discount to net appraisal fair value
December 31, 2022
Fair
Value
Valuation
Technique(s)
Unobservable Input(s)Range of Inputs
Weighted Average(1)
(Dollars in thousands)
Collateral-dependent loans$182 Market approachAdjustments to reflect current conditions and selling costs
14.6% - 14.6%
14.6%
(1) Weighted by net discount to net appraisal fair value
Schedule of Fair Value, Financial Instruments, Carrying Value
The following tables present the carrying value amount of the Company’s financial instruments and their corresponding estimated fair values at the dates indicated:
December 31, 2023
Carrying
Value
Fair ValueFair Value Measurements Using:
Level 1Level 2Level 3
(Dollars in thousands)
Financial Assets:
Cash and cash equivalents$224,973 $224,973 $224,973 $— $— 
Investment securities available for sale1,134,353 1,134,353 — 1,134,353 — 
Investment securities held to maturity739,442 662,450 — 662,450 — 
Loans receivable, net4,287,628 4,159,513 — — 4,159,513 
Accrued interest receivable19,518 19,518 96 6,127 13,295 
Derivative assets - interest rate swaps23,195 23,195 — 23,195 — 
Equity security314 314 314 — — 
Financial Liabilities:
Non-maturity deposits$4,906,899 $4,906,899 $4,906,899 $— $— 
Certificates of deposit 692,973 701,029 — 701,029 — 
Borrowings500,000 499,861 — 499,861 — 
Junior subordinated debentures21,765 19,750 — — 19,750 
Accrued interest payable13,026 13,026 63 12,880 83 
Derivative liabilities - interest rate swaps23,195 23,195 — 23,195 — 
December 31, 2022
Carrying
Value
Fair ValueFair Value Measurements Using:
Level 1Level 2Level 3
(Dollars in thousands)
Financial Assets:
Cash and cash equivalents$103,590 $103,590 $103,590 $— $— 
Investment securities available for sale1,331,443 1,331,443 25,178 1,306,265 — 
Investment securities held to maturity766,396 673,434 — 673,434 — 
Loans receivable, net4,007,872 3,841,821 — — 3,841,821 
Accrued interest receivable18,547 18,547 349 6,892 11,306 
Derivative assets - interest rate swaps30,107 30,107 — 30,107 — 
Equity security185 185 185 — — 
Financial Liabilities:
Non-maturity deposits$5,617,267 $5,617,267 $5,617,267 $— $— 
Certificates of deposit 307,573 308,325 — 308,325 — 
Securities sold under agreement to repurchase46,597 46,597 46,597 — — 
Junior subordinated debentures21,473 20,000 — — 20,000 
Accrued interest payable143 143 57 13 73 
Derivative liabilities - interest rate swaps30,107 30,107 — 30,107 —