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VARIABLE INTEREST ENTITIES (Details) - USD ($)
$ in Thousands
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Assets        
Cash and cash equivalents $ 299,315 $ 279,270 $ 328,698 $ 225,949
Restricted cash 22,772 25,156 21,422 $ 17,676
Receivables, net 419,358 335,879    
Committed investments in tax credit equity 241,401 313,230    
Other assets 596,596 562,803    
Total assets 5,059,478 4,381,993 $ 4,052,347  
Liabilities        
Commitments to fund investments in tax credit equity 219,949 274,975    
Other liabilities 569,630 527,860    
Total liabilities 3,313,616 2,622,130    
Consolidated VIEs        
Assets        
Cash and cash equivalents 439 863    
Restricted cash 2,452 3,939    
Receivables, net 27,570 26,570    
Other assets 7,257 44,892    
Total assets 37,718 76,264    
Liabilities        
Other liabilities 9,888 55,527    
Total liabilities 9,888 55,527    
Nonconsolidated VIEs        
Assets        
Committed investments in tax credit equity 241,401 313,230    
Other assets 93,018 50,592    
Total assets 334,419 363,822    
Liabilities        
Commitments to fund investments in tax credit equity 219,949 274,975    
Total liabilities 219,949 274,975    
Maximum exposure to losses $ 334,419 $ 363,822