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Fair Value of Assets and Liabilities - Schedule of Fair Value of Financial Instruments (Details) - USD ($)
$ in Thousands
Sep. 30, 2024
Dec. 31, 2023
Financial assets (recorded at amortized cost)    
Investment securities held-to-maturity $ 799,524 $ 814,830
Level 1 | Carrying Value    
Financial assets (recorded at amortized cost)    
Cash and cash equivalents 229,172 30,453
Level 1 | Fair Value    
Financial assets (recorded at amortized cost)    
Cash and cash equivalents 229,172 30,453
Level 2 | Carrying Value    
Financial assets (recorded at amortized cost)    
Investment securities held-to-maturity 888,804 925,198
Interest receivable 11,022 12,752
Financial liabilities (recorded at amortized cost)    
Time deposits 275,798 251,317
FRBSF short-term borrowings under the BTFP 0 26,000
Interest payable 2,715 2,752
Level 2 | Fair Value    
Financial assets (recorded at amortized cost)    
Investment securities held-to-maturity 799,524 814,830
Interest receivable 11,022 12,752
Financial liabilities (recorded at amortized cost)    
Time deposits 277,598 252,824
FRBSF short-term borrowings under the BTFP 0 25,998
Interest payable 2,715 2,752
Level 3 | Carrying Value    
Financial assets (recorded at amortized cost)    
Loans, net of allowance for credit losses 2,059,416 2,048,548
Level 3 | Fair Value    
Financial assets (recorded at amortized cost)    
Loans, net of allowance for credit losses $ 1,975,959 $ 1,939,702