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OTHER BORROWINGS - Schedule of Other Borrowings (Details) - USD ($)
$ in Thousands
6 Months Ended
Jun. 30, 2022
Dec. 31, 2021
Other Borrowings [Line Items]    
Subordinated deferrable interest debentures $ 127,325 $ 126,328
Other borrowings 425,592 739,879
Fixed Rate Advance due March 3, 2025; fixed interest rate of 1.208%    
Other Borrowings [Line Items]    
Advance from correspondent bank $ 15,000 15,000
Debt instrument, interest rate, effective percentage 1.208%  
Fixed Rate Advance due March 2, 2027; fixed interest rate of 1.445%    
Other Borrowings [Line Items]    
Advance from correspondent bank $ 15,000 15,000
Debt instrument, interest rate, effective percentage 1.445%  
Fixed Rate Advance due March 4, 2030; fixed interest rate of 1.606%    
Other Borrowings [Line Items]    
Advance from correspondent bank $ 15,000 15,000
Debt instrument, interest rate, effective percentage 1.606%  
Fixed Rate Advance due December 9, 2030; fixed interest rate of 4.55%    
Other Borrowings [Line Items]    
Advance from correspondent bank $ 1,394 1,400
Debt instrument, interest rate, effective percentage 4.55%  
Fixed Rate Advance due December 9, 2030; fixed interest rate of 4.55%    
Other Borrowings [Line Items]    
Advance from correspondent bank $ 965 969
Debt instrument, interest rate, effective percentage 4.55%  
Principal Reducing Advance due September 29, 2031; fixed interest rate of 3.095%    
Other Borrowings [Line Items]    
Advance from correspondent bank $ 1,348 1,421
Debt instrument, interest rate, effective percentage 3.095%  
Subordinated notes payable due June 1, 2026, net of unaccreted purchase accounting fair value adjustment of $— and $500, respectively; fixed interest rate of 5.50%    
Other Borrowings [Line Items]    
Subordinated deferrable interest debentures $ 0 50,500
Debt instrument, interest rate, effective percentage 5.50%  
Unaccreted purchase accounting fair value adjustment $ 0 (500)
Subordinated notes payable due March 15, 2027 net of unamortized debt issuance cost of $616 and $681, respectively; fixed interest rate of 5.75% through March 14, 2022; variable interest rate thereafter at three-month LIBOR plus 3.616%    
Other Borrowings [Line Items]    
Subordinated deferrable interest debentures $ 74,384 74,319
Debt instrument, interest rate, effective percentage 5.75%  
Unamortized debt issuance expense $ 616 681
Subordinated notes payable due March 15, 2027 net of unamortized debt issuance cost of $616 and $681, respectively; fixed interest rate of 5.75% through March 14, 2022; variable interest rate thereafter at three-month LIBOR plus 3.616% | London Interbank Offered Rate (LIBOR)    
Other Borrowings [Line Items]    
Basis spread on variable rate 3.616%  
Subordinated notes payable due December 15, 2029 net of unamortized debt issuance cost of $1,801 and $1,923, respectively; fixed interest rate of 4.25% through December 14, 2024; variable interest rate thereafter at three-month SOFR plus 2.94%    
Other Borrowings [Line Items]    
Subordinated deferrable interest debentures $ 118,199 118,077
Debt instrument, interest rate, effective percentage 4.25%  
Unamortized debt issuance expense $ 1,801 1,923
Subordinated notes payable due December 15, 2029 net of unamortized debt issuance cost of $1,801 and $1,923, respectively; fixed interest rate of 4.25% through December 14, 2024; variable interest rate thereafter at three-month SOFR plus 2.94% | Secured Overnight Financing Rate (SOFR)    
Other Borrowings [Line Items]    
Basis spread on variable rate 2.94%  
Subordinated notes payable due May 31, 2030 net of unaccreted purchase accounting fair value adjustment of $967 and $1,028, respectively; fixed interest rate of 5.875% through May 31, 2025; variable interest rate thereafter at three-month LIBOR plus 3.63%    
Other Borrowings [Line Items]    
Subordinated deferrable interest debentures $ 75,967 76,028
Debt instrument, interest rate, effective percentage 5.875%  
Unaccreted purchase accounting fair value adjustment $ (967) (1,028)
Subordinated notes payable due May 31, 2030 net of unaccreted purchase accounting fair value adjustment of $967 and $1,028, respectively; fixed interest rate of 5.875% through May 31, 2025; variable interest rate thereafter at three-month LIBOR plus 3.63% | London Interbank Offered Rate (LIBOR)    
Other Borrowings [Line Items]    
Basis spread on variable rate 3.63%  
Subordinated notes payable due October 1, 2030 net of unamortized debt issuance cost of $1,665 and $1,766, respectively; fixed interest rate of 3.875% through September 30, 2025; variable interest rate thereafter at three-month SOFR plus 3.753%    
Other Borrowings [Line Items]    
Subordinated deferrable interest debentures $ 108,335 108,234
Debt instrument, interest rate, effective percentage 3.875%  
Unamortized debt issuance expense $ 1,665 1,766
Subordinated notes payable due October 1, 2030 net of unamortized debt issuance cost of $1,665 and $1,766, respectively; fixed interest rate of 3.875% through September 30, 2025; variable interest rate thereafter at three-month SOFR plus 3.753% | Secured Overnight Financing Rate (SOFR)    
Other Borrowings [Line Items]    
Basis spread on variable rate 3.753%  
Equipment contract backed notes, Series 2018-1 (BCC XIV) due on various dates through 2025 and bear a weighted-average interest rate of 5.11%    
Other Borrowings [Line Items]    
Securitization facilities $ 0 19,199
Debt instrument, interest rate, effective percentage 5.11%  
Equipment contract backed notes, Series 2019-1 (BCC XVI) due on various dates through 2027 and bear a weighted-average interest rate of 2.84%    
Other Borrowings [Line Items]    
Securitization facilities $ 0 139,329
Debt instrument, interest rate, effective percentage 2.84%  
Equipment contract backed notes, Series 2020-1 (BCC XVII) due on various dates through 2027 and bear a weighted-average interest rate of 1.48%    
Other Borrowings [Line Items]    
Securitization facilities $ 0 $ 105,403
Debt instrument, interest rate, effective percentage 1.48%