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Investment Securities - Schedule of Debt Securities by Contractual Maturity (Details) - USD ($)
$ in Thousands
Mar. 31, 2022
Dec. 31, 2021
Amortized Cost    
Amortized Cost $ 508,453 $ 430,486
Fair Value    
Fair Value 488,347 426,684
U.S. Treasury and government sponsored entities    
Amortized Cost    
Within 1 year 5,000  
1-5 years 410,485  
Amortized Cost 415,485 345,514
Fair Value    
Within 1 year 5,007  
1-5 years 390,948  
Fair Value 395,955 341,480
Corporate bonds    
Amortized Cost    
1-5 years 37,687  
5-10 years 19,779  
Amortized Cost 32,716 32,721
Amortized Cost 57,466  
Fair Value    
1-5 years 37,250  
5-10 years 18,133  
Fair Value 32,506 32,946
Fair Value 55,383  
Collateralized loan obligations    
Amortized Cost    
1-5 years 5,000  
5-10 years 23,939  
Over 10 years 30,493  
Amortized Cost 59,432 51,431
Fair Value    
1-5 years 4,938  
5-10 years 23,796  
Over 10 years 30,337  
Fair Value 59,071 51,418
Municipal securities    
Amortized Cost    
1-5 years 820  
Amortized Cost 820 820
Fair Value    
1-5 years 815  
Fair Value $ 815 $ 840