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Fair Value Measurements - Changes in Fair Value (Details) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Sep. 30, 2019
Sep. 30, 2018
Sep. 30, 2019
Sep. 30, 2018
MBS        
Changes in fair value of assets        
Beginning Balance $ 36,655 $ 126 $ 12,148 $ 126
Purchases or Originations     9,593  
Sales / Principal payments (673)   (1,342) (11)
Realized gains, net 169   276  
Unrealized gains (losses), net 87 (11) 376  
Accreted discount, net 49   95  
Assets transferred out of Level 3 (5,994)   9,147  
Ending Balance 30,293 115 30,293 115
Total unrealized gain (loss) 2,946   2,946  
Derivatives        
Changes in fair value of assets        
Beginning Balance 3,670 2,832 1,776 2,832
Unrealized gains (losses), net 511 (1,412) 2,405 (1,412)
Ending Balance 4,181 1,420 4,181 1,420
Total unrealized gain (loss) 4,181 1,420 4,181 1,420
Loans, held at fair value        
Changes in fair value of assets        
Beginning Balance 20,409 34,354 22,664 34,354
Sales / Principal payments (45) (12,454) (2,239) (12,454)
Realized gains, net 38 101 (128) 101
Unrealized gains (losses), net 32 679 137 679
Ending Balance 20,434 22,680 20,434 22,680
Total unrealized gain (loss) 363 325 363 325
Mortgage servicing rights        
Changes in fair value of assets        
Beginning Balance 85,658 85,554 93,065 85,554
Purchases or Originations 9,028   18,482  
Additions due to loans sold, servicing retained   5,502   5,502
Sales / Principal payments (2,466) (1,665) (5,861) (1,665)
Unrealized gains (losses), net (7,582) 2,317 (21,048) 2,317
Ending Balance 84,638 91,708 84,638 91,708
Total unrealized gain (loss) $ (10,287) (970) $ (10,287) (970)
Contingent Consideration        
Changes in fair value of assets        
Beginning Balance       1,686
Changes in fair value of liabilities        
Beginning Balance   1,686    
Amortization and adjustment for earn-out payments   87   87
Ending Balance   $ 1,773   $ 1,773