v3.22.1
FAIR VALUE MEASUREMENTS - Carrying Amounts and Estimated Fair Value of Financial Instruments (Details) - USD ($)
$ in Thousands
Mar. 31, 2022
Dec. 31, 2021
ASSETS    
Cash and cash equivalents $ 931,710 $ 1,121,757
Securities AFS, net 258,287 1,191,378
Securities HTM 920,408 0
Loans held for sale 501,424 501,436
Loans, net 7,364,642 6,872,952
Investment in FHLB stock 17,250 18,249
Investment in equity securities 8,569 16,025
Liabilities:    
Deposits 8,957,518 8,811,960
Borrowings 325,969 210,127
Assets Fair Value:    
Cash and cash equivalents 931,710 1,121,757
Securities AFS, net 258,287 1,191,378
Securities HTM 880,751  
Loans held for sale 515,965 515,978
Loans, net 7,578,756 7,072,878
Investment in FHLB stock 17,250 18,249
Investment in equity securities 8,569 16,025
Liabilities Fair Value:    
Deposits 8,957,518 8,811,960
Borrowings 325,969 210,127
Fair Value Measurement Level 1    
ASSETS    
Securities AFS, net 854 490
Investment in equity securities   16,025
Assets Fair Value:    
Cash and cash equivalents 931,710 1,121,757
Securities AFS, net 854 490
Investment in equity securities   16,025
Liabilities Fair Value:    
Deposits 8,317,757 8,143,473
Borrowings 152,680 165,930
Fair Value Measurement Level 2    
ASSETS    
Securities AFS, net 247,211 1,179,308
Investment in FHLB stock 17,250 18,249
Assets Fair Value:    
Securities AFS, net 247,211 1,179,308
Securities HTM 880,751  
Loans held for sale 515,965 515,978
Investment in FHLB stock 17,250 18,249
Liabilities Fair Value:    
Deposits 639,761 668,487
Fair Value Measurement Level 3    
ASSETS    
Securities AFS, net 10,222 11,580
Investment in equity securities 8,569  
Assets Fair Value:    
Securities AFS, net 10,222 11,580
Loans, net 7,578,756 7,072,878
Investment in equity securities 8,569  
Liabilities Fair Value:    
Borrowings $ 173,289 $ 44,197