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Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2024
Fair Value Disclosures [Abstract]  
Schedule of Recorded Amount of Assets and Liabilities Measured at Fair Value on a Recurring Basis
The tables below present the recorded amount of assets and liabilities measured at fair value on a recurring basis as of June 30, 2024 and December 31, 2023.
(dollars in thousands)Quoted Prices
(Level 1)
Significant Other Observable Inputs
(Level 2)
Significant Other Unobservable Inputs
(Level 3)
Total Fair Value
June 30, 2024
Assets:
Investment securities available-for-sale:
U.S treasury bonds$— $48,721 $— $48,721 
U. S. agency securities— 640,967 — 640,967 
Residential mortgage-backed securities— 672,206 — 672,206 
Commercial mortgage-backed securities— 48,847 — 48,847 
Municipal bonds— 8,182 — 8,182 
Corporate bonds— 1,695 — 1,695 
Loans held for sale— 5,000 — 5,000 
Interest rate product— 34,770 — 34,770 
Total assets measured at fair value on a recurring basis$— $1,460,388 $— $1,460,388 
Liabilities:
Interest rate product$— $33,633 $— $33,633 
Total liabilities measured at fair value on a recurring basis$— $33,633 $— $33,633 
December 31, 2023
Assets:
Investment securities available-for-sale:
U.S. treasury bonds$— $47,901 $— $47,901 
U. S. agency securities— 671,397 — 671,397 
Residential mortgage-backed securities— 727,353 — 727,353 
Commercial mortgage-backed securities— 49,564 — 49,564 
Municipal bonds— 8,490 — 8,490 
Corporate bonds— 1,683 — 1,683 
Interest rate product— 30,662 — 30,662 
Credit risk participation agreements— — 
Total assets measured at fair value on a recurring basis$— $1,537,053 $— $1,537,053 
Liabilities:
Interest rate product$— $30,555 $— $30,555 
Total liabilities measured at fair value on a recurring basis$— $30,555 $— $30,555 
Schedule of Assets Measured at Fair Value on Nonrecurring Basis
Assets measured at fair value on a nonrecurring basis are included in the table below:
(dollars in thousands)Quoted Prices
(Level 1)
Significant Other Observable Inputs
(Level 2)
Significant Other Unobservable Inputs
(Level 3)
Total Fair Value
June 30, 2024        
Individually assessed loans:
Commercial$— $— $2,540 $2,540 
Income producing - commercial real estate— — 70,209 70,209 
Owner occupied - commercial real estate— — 19,834 19,834 
Real estate mortgage - residential— — 1,698 1,698 
Consumer
— — 2,072 2,072 
Home equity— — 265 265 
Other real estate owned— — 773 773 
Total assets measured at fair value on a nonrecurring basis as of June 30, 2024$— $— $97,391 $97,391 
December 31, 2023
Individually assessed loans:
Commercial$— $— $2,475 $2,475 
Income producing - commercial real estate— — 41,038 41,038 
Owner occupied - commercial real estate— — 19,880 19,880 
Real estate mortgage - residential— — 1,638 1,638 
Consumer— — 396 396 
Home equity— — 242 242 
Other real estate owned— — 1,108 1,108 
Total assets measured at fair value on a nonrecurring basis as of December 31, 2023$— $— $66,777 $66,777 
Schedule of Estimated Fair Values of Financial Instruments
The estimated fair value of the Company's financial instruments at June 30, 2024 and December 31, 2023 are as follows:
Fair Value Measurements
(dollars in thousands)Carrying ValueFair ValueQuoted Prices
(Level 1)
Significant Other Observable Inputs
(Level 2)
Significant Other Unobservable Inputs
(Level 3)
June 30, 2024
Assets
Cash and due from banks$10,803 $10,803 $10,803 $— $— 
Federal funds sold5,802 5,802 — 5,802 — 
Interest-bearing deposits with other banks
526,228 526,228 — 526,228 — 
Investment securities available-for-sale1,420,618 1,420,618 — 1,420,618 — 
Investment securities held-to-maturity982,955 856,275 — 856,275 — 
Federal Reserve and Federal Home Loan Bank stock54,274 N/A— — — 
Loans held for sale5,000 5,000 — 5,000 — 
Loans8,001,739 7,632,721 — — 7,632,721 
Bank owned life insurance114,333 114,333 — 114,333 — 
Annuity investment12,695 12,695 — 12,695 — 
Interest rate product34,770 34,770 — 34,770 — 
Accrued interest receivable54,140 54,140 54,140 — — 
Liabilities
Noninterest-bearing deposits
$1,693,955 $1,693,955 $— $1,693,955 $— 
Interest-bearing deposits
4,289,294 4,289,294 — 4,289,294 — 
Time deposits2,284,099 2,278,976 — 2,278,976 — 
Customer repurchase agreements39,220 39,220 — 39,220 — 
Borrowings1,659,979 1,659,595 — 1,659,595 — 
Interest rate product33,633 33,633 — 33,633 — 
Accrued interest payable38,237 38,237 38,237 — — 
December 31, 2023
Assets
Cash and due from banks$9,047 $9,047 $9,047 $— $— 
Federal funds sold3,740 3,740 — 3,740 — 
Interest-bearing deposits with other banks
709,897 709,897 — 709,897 — 
Investment securities available-for-sale1,506,388 1,506,388 — 1,506,388 — 
Investment securities held-to-maturity1,015,737 901,582 — 901,582 — 
Federal Reserve and Federal Home Loan Bank stock25,748 N/A— — — 
Loans7,968,695 7,720,241 — — 7,720,241 
Bank owned life insurance112,921 112,921 — 112,921 — 
Annuity investment13,112 13,112 — 13,112 — 
Credit risk participation agreements
— — 
Interest rate product30,662 30,662 — 30,662 — 
Accrued interest receivable53,337 53,337 53,337 — — 
Liabilities
Noninterest-bearing deposits
$2,279,081 $2,279,081 $— $2,279,081 $— 
Interest-bearing deposits
4,311,491 4,311,491 — 4,311,491 — 
Time deposits2,217,467 2,217,795 — 2,217,795 — 
Customer repurchase agreements30,587 30,587 — 30,587 — 
Borrowings1,369,918 1,368,621 — 1,368,621 — 
Interest rate product30,555 30,555 — 30,555 — 
Accrued interest payable57,395 57,395 57,395 — —