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Fair Value Of Financial Instruments
12 Months Ended
Dec. 31, 2025
Fair Value Disclosures [Abstract]  
Fair Value of Financial Instruments Fair Value of Financial Instruments
The carrying amounts and estimated fair values of financial instruments held by the Company are set forth below. Fair value estimates are made at a specific point in time based on relevant market information. They do not reflect any premium or discount that could result from offering for sale at one time the Company's entire holdings of a particular financial instrument. Because no market exists for many of the Company's financial instruments, fair value estimates are based on judgments regarding future expected loss experience, risk characteristics and economic conditions. These estimates are subjective, involve uncertainties, and cannot be determined with precision. Changes in assumptions could significantly affect the estimates.

The estimated fair values of the Company’s financial instruments and the classification of their fair value measurement within the valuation hierarchy are as follows at December 31, 2025 and 2024:

Carrying Amount
Estimated Fair Value at December 31, 2025

(In thousands)
Level 1
Level 2
Level 3
Total
Financial Assets
Loans:
Business$6,439,380 $ $ $6,367,754 $6,367,754 
Real estate - construction and land
1,438,012   1,415,490 1,415,490 
Real estate - business
3,674,567   3,628,499 3,628,499 
Real estate - personal
3,053,435   2,815,384 2,815,384 
Consumer
2,196,822   2,188,772 2,188,772 
Revolving home equity375,159   371,998 371,998 
Consumer credit card589,694   535,660 535,660 
Overdrafts
4,194   4,045 4,045 
Total loans17,771,263   17,327,602 17,327,602 
Loans held for sale4,329  4,329  4,329 
Investment securities9,413,603 3,339,866 5,842,326 231,411 9,413,603 
Securities purchased under agreements to resell850,000   869,427 869,427 
Interest earning deposits with banks2,744,393 2,744,393   2,744,393 
Cash and due from banks803,239 803,239   803,239 
Derivative instruments51,421  51,232 189 51,421 
Assets held in trust for deferred compensation plan23,276 23,276   23,276 
       Total$31,661,524 $6,910,774 $5,897,887 $18,428,629 $31,237,290 
Financial Liabilities
Non-interest bearing deposits$8,205,711 $8,205,711 $ $ $8,205,711 
Savings, interest checking and money market deposits15,047,406 15,047,406  — 15,047,406 
Certificates of deposit2,386,459   2,418,268 2,418,268 
Federal funds purchased128,625 128,625  — 128,625 
Securities sold under agreements to repurchase2,861,016   2,863,921 2,863,921 
Other borrowings12,739 12,739   12,739 
Derivative instruments18,795  18,718 77 18,795 
Liabilities held in trust for deferred compensation plan23,276 23,276  — 23,276 
       Total$28,684,027 $23,417,757 $18,718 $5,282,266 $28,718,741 
Carrying Amount
Estimated Fair Value at December 31, 2024

(In thousands)
Level 1
Level 2
Level 3
Total
Financial Assets
Loans:
Business$6,053,820 $— $— $5,943,565 $5,943,565 
Real estate - construction and land
1,409,901 — — 1,384,029 1,384,029 
Real estate - business
3,661,218 — — 3,558,862 3,558,862 
Real estate - personal
3,058,195 — — 2,738,880 2,738,880 
Consumer
2,073,123 — — 2,053,191 2,053,191 
Revolving home equity356,650 — — 353,731 353,731 
Consumer credit card595,930 — — 549,874 549,874 
Overdrafts
11,266 — — 11,120 11,120 
Total loans17,220,103 — — 16,593,252 16,593,252 
Loans held for sale3,242 — 3,242 — 3,242 
Investment securities9,453,297 2,613,830 6,608,452 231,015 9,453,297 
Federal funds sold3,000 3,000 — — 3,000 
Securities purchased under agreements to resell625,000 — — 622,021 622,021 
Interest earning deposits with banks2,624,553 2,624,553 — — 2,624,553 
Cash and due from banks748,357 748,357 — — 748,357 
Derivative instruments62,648 — 62,555 93 62,648 
Assets held in trust for deferred compensation plan21,849 21,849 — — 21,849 
       Total$30,762,049 $6,011,589 $6,674,249 $17,446,381 $30,132,219 
Financial Liabilities
Non-interest bearing deposits$8,150,669 $8,150,669 $— $— $8,150,669 
Savings, interest checking and money market deposits14,754,571 14,754,571 — — 14,754,571 
Certificates of deposit2,388,404 — — 2,409,537 2,409,537 
Federal funds purchased123,715 123,715 — — 123,715 
Securities sold under agreements to repurchase2,803,043 — — 2,806,428 2,806,428 
Derivative instruments26,963 — 26,905 58 26,963 
Liabilities held in trust for deferred compensation plan21,849 21,849 — — 21,849 
       Total$28,269,214 $23,050,804 $26,905 $5,216,023 $28,293,732