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Borrowings - Schedules of Short-term Borrowings and Long-term Borrowings (Details) - USD ($)
$ in Thousands
Mar. 31, 2025
Dec. 31, 2024
Short-term borrowings:    
Borrowings - Principal $ 490,000 $ 490,000
Unamortized Deferred Issuance Costs 0 0
Net Borrowings Outstanding 490,000 490,000
Long-term borrowings:    
Net Borrowings Outstanding 76,181 76,108
Total borrowings    
Borrowings - Principal 600,022 600,822
Unamortized Deferred Issuance Costs (1,484) (1,557)
Net Borrowings Outstanding 598,538 599,265
Available capacity 2,876,640 2,674,916
Borrowings - Principal 4,200,000  
Investment securities pledged with collateral par 1,300,000  
Asset Pledged as Collateral    
Total borrowings    
Available capacity 2,900,000  
Senior Notes    
Long-term borrowings:    
Borrowings - Principal 77,665 77,665
Unamortized Deferred Issuance Costs (1,484) (1,557)
Net Borrowings Outstanding $ 76,181 $ 76,108
Total borrowings    
Interest rate (as a percent) 10.00% 10.00%
Customer repurchase agreements    
Short-term borrowings:    
Borrowings - Principal $ 32,357 $ 33,157
Net Borrowings Outstanding $ 32,357 $ 33,157
Total borrowings    
Interest rate (as a percent) 2.87% 2.67%
FHLB | Secured Debt    
Short-term borrowings:    
Borrowings - Principal $ 490,000 $ 490,000
Net Borrowings Outstanding 490,000 490,000
Total borrowings    
Available capacity $ 1,070,435 $ 874,270
Interest rate (as a percent) 4.80% 4.81%
Discount window | Secured Debt    
Total borrowings    
Available capacity $ 1,806,205 $ 1,800,646
Raymond James repurchase agreement | Secured Debt    
Total borrowings    
Available capacity   $ 0
FHLB Advances matured on January 31, 2025 | Secured Debt    
Short-term borrowings:    
Net Borrowings Outstanding 240,000  
FHLB Advances matured on April 1, 2025 | Secured Debt    
Short-term borrowings:    
Net Borrowings Outstanding $ 250,000