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Investment Securities - Schedule of Debt Securities by Contractual Maturity (Details) - USD ($)
$ in Thousands
Mar. 31, 2023
Dec. 31, 2022
Amortized Cost    
Amortized Cost $ 711,701 $ 719,117
Fair Value    
Fair Value 677,734 677,029
U.S. Treasury and government sponsored entities    
Amortized Cost    
Within 1 year 105,712  
1-5 years 528,744  
Amortized Cost 634,456 634,582
Fair Value    
Within 1 year 103,821  
1-5 years 498,553  
Fair Value 602,374 595,161
Corporate bonds    
Amortized Cost    
Within 1 year 2,000  
1-5 years 24,018  
5-10 years 26,750  
Amortized Cost 16,018 24,281
Amortized Cost 52,768  
Fair Value    
Within 1 year 1,951  
1-5 years 22,570  
5-10 years 23,425  
Fair Value 15,415 23,644
Fair Value 47,946  
Collateralized loan obligations    
Amortized Cost    
5-10 years 24,914  
Over 10 years 35,493  
Amortized Cost 60,407 59,434
Fair Value    
5-10 years 24,561  
Over 10 years 34,582  
Fair Value 59,143 57,429
Municipal securities    
Amortized Cost    
Within 1 year 820  
Amortized Cost 820 820
Fair Value    
Within 1 year 802  
Fair Value $ 802 $ 795