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Investment securities (Tables)
6 Months Ended
Jun. 30, 2022
Investments, Debt and Equity Securities [Abstract]  
Schedule of Amortized Cost of Securities and Fair Values
The following tables summarize the amortized cost, allowance for credit losses and fair value of the available-for-sale debt securities and the corresponding amounts of unrealized gains and losses recognized in accumulated other comprehensive income at June 30, 2022 and December 31, 2021:  
June 30, 2022
 Amortized cost Gross unrealized gains Gross unrealized losses Allowance for credit losses for investments Fair Value
Investment Securities    
Available-for-sale debt securities  
U.S. government agency securities$45,154 $$(3,099)$— $42,059 
Mortgage-backed securities - residential1,297,033 325 (132,426)— 1,164,932 
Mortgage-backed securities - commercial 21,539 — (871)— 20,668 
Municipal securities301,175 810 (28,821)— 273,164 
U.S. Treasury securities112,844 — (3,051)— 109,793 
Corporate securities8,006 — (381)— 7,625 
Total$1,785,751 $1,139 $(168,649)$— $1,618,241 
December 31, 2021
 Amortized costGross unrealized gains Gross unrealized losses Allowance for credit losses for investmentsFair Value
Investment Securities    
Available-for-sale debt securities    
U.S. government agency securities$34,023 $18 $(171)$— $33,870 
Mortgage-backed securities - residential1,281,285 6,072 (17,985)— 1,269,372 
Mortgage-backed securities - commercial15,024 272 (46)— 15,250 
Municipal securities322,052 16,718 (160)— 338,610 
U.S. Treasury securities14,914 — (6)— 14,908 
Corporate securities6,500 40 (25)— 6,515 
Total$1,673,798 $23,120 $(18,393)$— $1,678,525 
Schedule of Amortized Cost and Fair Value of Debt Securities by Contractual Maturity Therefore, mortgage-backed securities are not included in the maturity categories in the following summary.
June 30,December 31,
 2022 2021 
 Available-for-saleAvailable-for-sale
 Amortized costFair valueAmortized costFair value
Due in one year or less$3,078 $3,077 $21,851 $21,884 
Due in one to five years157,083 152,339 54,847 55,307 
Due in five to ten years58,406 55,967 45,714 46,975 
Due in over ten years248,612 221,258 255,077 269,737 
467,179 432,641 377,489 393,903 
Mortgage-backed securities - residential1,297,033 1,164,932 1,281,285 1,269,372 
Mortgage-backed securities - commercial21,539 20,668 15,024 15,250 
Total debt securities$1,785,751 $1,618,241 $1,673,798 $1,678,525 
Schedule of Sales and Other Dispositions of Available-for-Sale Securities
Sales and other dispositions of available-for-sale securities were as follows:
 Three Months Ended June 30,Six Months Ended June 30,
 2022 2021 2022 2021 
Proceeds from sales$1,218 $— $1,218 $— 
Proceeds from maturities, prepayments and calls126,349 86,866 126,349 147,906 
Gross realized gains15 
Gross realized losses— — — — 
Schedule of Gross Unrealized Losses
The following tables show gross unrealized losses for which an allowance for credit losses has not been recorded at June 30, 2022 and December 31, 2021, aggregated by investment category and length of time that individual securities have been in a continuous unrealized loss position:

June 30, 2022
 Less than 12 months12 months or moreTotal
 Fair ValueUnrealized Loss Fair ValueUnrealized Loss Fair ValueUnrealized Loss
U.S. government agency securities$41,061 $(3,099)$— $— $41,061 $(3,099)
Mortgage-backed securities - residential928,511 (101,181)191,387 (31,245)1,119,898 (132,426)
Mortgage-backed securities - commercial20,668 (871)— — 20,668 (871)
Municipal securities216,587 (28,536)939 (285)217,526 (28,821)
U.S. Treasury securities108,125 (3,051)— — 108,125 (3,051)
Corporate securities7,743 (381)— — 7,743 (381)
Total$1,322,695 $(137,119)$192,326 $(31,530)$1,515,021 $(168,649)
 December 31, 2021
 Less than 12 months12 months or moreTotal
 Fair ValueUnrealized Loss Fair ValueUnrealized Loss Fair ValueUnrealized loss
U.S. government agency securities$18,360 $(171)$— $— $18,360 $(171)
Mortgage-backed securities - residential$871,368 $(14,295)$102,799 $(3,690)$974,167 $(17,985)
Mortgage-backed securities - commercial7,946 (46)— — 7,946 (46)
Municipal securities11,414 (160)— — 11,414 (160)
U.S. Treasury securities14,908 (6)— — 14,908 (6)
Corporate securities4,119 (25)— — 4,119 (25)
Total$928,115 $(14,703)$102,799 $(3,690)$1,030,914 $(18,393)