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Borrowings - Schedules of Borrowings (Details) - USD ($)
$ in Thousands
Sep. 30, 2025
Dec. 31, 2024
Short-term borrowings:    
Borrowings - Principal $ 0 $ 490,000
Unamortized Deferred Issuance Costs 0 0
Unamortized Deferred Issuance Costs (1,319) (1,557)
Net Borrowings Outstanding 0 490,000
Long-term borrowings:    
Net Borrowings Outstanding 76,346 76,108
Total borrowings    
Borrowings - Principal 91,390 600,822
Unamortized Deferred Issuance Costs (1,319) (1,557)
Net Borrowings Outstanding 90,071 599,265
Available capacity 3,160,863 2,674,916
Total additional undrawn borrowing capacity 3,400,000  
Investment securities pledged with collateral par 262,900  
Asset Pledged as Collateral    
Total borrowings    
Available capacity 3,200,000  
Senior notes    
Long-term borrowings:    
Borrowings - Principal 77,665 77,665
Unamortized Deferred Issuance Costs (1,319) (1,557)
Net Borrowings Outstanding $ 76,346 $ 76,108
Total borrowings    
Interest rates 10.00% 10.00%
Customer repurchase agreements    
Short-term borrowings:    
Borrowings - Principal $ 13,725 $ 33,157
Net Borrowings Outstanding $ 13,725 $ 33,157
Total borrowings    
Interest rates 3.14% 2.67%
FHLB | Secured borrowings:    
Short-term borrowings:    
Borrowings - Principal $ 0 $ 490,000
Net Borrowings Outstanding 0 490,000
Total borrowings    
Available capacity $ 1,443,069 $ 874,270
Interest rates 0.00% 4.81%
Discount window | Secured borrowings:    
Total borrowings    
Available capacity $ 1,717,794 $ 1,800,646