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Investment Securities - Schedule of Amortized, Gross, Unrecognized Gains and Losses, and Fair Value on Investment Securities, Held to Maturity (Details) - USD ($)
$ in Thousands
Dec. 31, 2024
Dec. 31, 2023
Amortized Cost    
Due in one year or less $ 0  
Due after one year through five years 6,442  
Due after five years through ten years 34,201  
Due after ten years 47,160  
Total investment securities due at a single maturity date 87,803  
MBS 747,789  
Amortized Cost 835,592  
Fair Value    
Due in one year or less 0  
Due after one year through five years 6,111  
Due after five years through ten years 31,418  
Due after ten years 37,727  
Total investment securities due at a single maturity date 75,256  
MBS 689,138  
Fair Value 764,394  
Amortized Cost    
Due in one year or less 0  
Due after one year through five years 0  
Due after five years through ten years 93,294  
Due after ten years 57,922  
Total investment securities due at a single maturity date 151,216  
MBS 552,069  
Investment securities held to maturity, at amortized cost, net (fair value of $623,452 and $662,450, respectively) 703,285 $ 739,442
Fair Value    
Due in one year or less 0  
Due after one year through five years 0  
Due after five years through ten years 78,092  
Due after ten years 44,250  
Total investment securities due at a single maturity date 122,342  
MBS 501,110  
Total investment securities $ 623,452 $ 662,450