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Fair Value Measurements - Changes in Fair Value (Details) - Level 3 inputs - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Sep. 30, 2022
Sep. 30, 2021
Sep. 30, 2022
Sep. 30, 2021
Changes in fair value of assets        
Beginning Balance $ 309,029 $ 138,776 $ 362,430 $ 207,060
Purchases or Originations   (12,400) 23,470 (8,534)
Accreted discount, net     1 60
Additions due to loans sold, servicing retained 9,463 11,622 32,417 35,595
Sales / Principal payments (8,669) (12,938) (49,452) (86,258)
Realized gains (losses), net (1) (3,733) (2,393) (5)
Measurement Period Adjustment 55,624   55,624  
Merger     (67,295)  
Unrealized gains (losses), net (3,624)   13,885 (2,012)
Transfer to (from) Level 3 (1,649) (191) (4,652) (24,770)
Transfer from loans, held-for-investment, net     (3,862)  
Ending Balance 360,173 121,136 360,173 121,136
Contingent Consideration        
Changes in fair value of assets        
Unrealized gains (losses), net     (800)  
Changes in fair value of liabilities        
Beginning Balance (92,548)   (16,400)  
Purchases or Originations   (12,400)   (12,400)
Sales / Principal payments     9,000  
Measurement Period Adjustment 59,348   59,348  
Merger     (84,348)  
Ending Balance (33,200) (12,400) (33,200) (12,400)
Mortgage backed securities        
Changes in fair value of assets        
Beginning Balance 1,666 1,714 1,581 25,131
Accreted discount, net     1 60
Sales / Principal payments     (1,352) (92)
Realized gains (losses), net   29 (1,449)  
Unrealized gains (losses), net (17)   2,688 1,223
Transfer to (from) Level 3 (1,649) (191) (1,469) (24,770)
Ending Balance   1,552   1,552
Derivatives        
Changes in fair value of assets        
Beginning Balance 2,399 6,130 2,339 16,363
Realized gains (losses), net   (3,770)    
Unrealized gains (losses), net (6,744)   (6,684) (14,003)
Ending Balance (4,345) 2,360 (4,345) 2,360
Loans, net        
Changes in fair value of assets        
Beginning Balance 9,956 13,681 10,766 13,795
Sales / Principal payments   (1,380)   (1,592)
Realized gains (losses), net   (139)   (5)
Unrealized gains (losses), net (374)   (1,184) (36)
Ending Balance 9,582 12,162 9,582 12,162
Loans, held for sale, at fair value        
Changes in fair value of assets        
Beginning Balance 200,863   231,865  
Purchases or Originations     23,470  
Sales / Principal payments (182)   (32,891)  
Realized gains (losses), net (1)   (788)  
Unrealized gains (losses), net (12,965)   (28,739)  
Transfer to (from) Level 3     (1,340)  
Transfer from loans, held-for-investment, net     (3,862)  
Ending Balance 187,715   187,715  
Investments held to maturity        
Changes in fair value of assets        
Beginning Balance 9,601      
Sales / Principal payments (5,877)   (13,173)  
Realized gains (losses), net     (156)  
Measurement Period Adjustment (3,724)   (3,724)  
Merger     17,053  
Paycheck Protection Program loans, at fair value        
Changes in fair value of assets        
Beginning Balance   16,431 3,243 74,931
Purchases or Originations       3,866
Sales / Principal payments   (6,558) (1,400) (68,924)
Transfer to (from) Level 3     (1,843)  
Ending Balance   9,873   9,873
Mortgage servicing rights        
Changes in fair value of assets        
Beginning Balance 168,653 100,820 120,142 76,840
Additions due to loans sold, servicing retained 9,463 11,622 32,417 35,595
Sales / Principal payments (2,610) (5,000) (9,636) (15,650)
Realized gains (losses), net   147    
Unrealized gains (losses), net 16,647   49,230 10,804
Ending Balance 192,153 $ 107,589 192,153 $ 107,589
Investment in unconsolidated joint ventures        
Changes in fair value of assets        
Beginning Balance 8,439   8,894  
Unrealized gains (losses), net (171)   (626)  
Ending Balance $ 8,268   $ 8,268