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Fair Value (Tables)
6 Months Ended
Jun. 30, 2025
Fair Value  
Schedule of assets and liabilities measured at fair value on a recurring basis

    

Fair Value Measurements as of June 30, 2025

Quoted Prices in

Significant

Active Markets for

Other

Significant

Identical Assets

Observable

Unobservable

(dollars in thousands)

  

(Level 1)

  

Inputs (Level 2)

  

Inputs (Level 3)

  

Total

Assets

Mortgage-backed securities:

Residential - Government agency(1)

$

$

34,372

$

$

34,372

Residential - Government-sponsored enterprises(1)

714,338

714,338

Commercial - Government agency

194,010

194,010

Commercial - Government-sponsored enterprises

43,913

43,913

Commercial - Non-agency

89,316

89,316

Collateralized mortgage obligations:

Government agency

383,987

383,987

Government-sponsored enterprises

298,652

298,652

Collateralized loan obligations

133,066

133,066

Total available-for-sale securities

1,891,654

1,891,654

Other assets(2)

1,544

15,388

16,932

Liabilities

Other liabilities(3)

(6,014)

(2,300)

(8,314)

Total

$

1,544

$

1,901,028

$

(2,300)

$

1,900,272

(1)Backed by residential real estate.
(2)Other assets classified as Level 1 include money market funds that have quoted prices in active markets and are related to the Company’s deferred compensation plans. Other assets classified as Level 2 include derivative assets.
(3)Other liabilities include derivative liabilities.

    

Fair Value Measurements as of December 31, 2024

Quoted Prices in

Significant

Active Markets for

Other

Significant

Identical Assets

Observable

Unobservable

(dollars in thousands)

  

(Level 1)

  

Inputs (Level 2)

  

Inputs (Level 3)

  

Total

Assets

Government agency debt securities

$

$

8,147

$

$

8,147

Mortgage-backed securities:

Residential - Government agency(1)

35,859

35,859

Residential - Government-sponsored enterprises(1)

738,113

738,113

Commercial - Government agency

196,125

196,125

Commercial - Government-sponsored enterprises

44,908

44,908

Commercial - Non-agency

22,083

22,083

Collateralized mortgage obligations:

Government agency

397,124

397,124

Government-sponsored enterprises

310,682

310,682

Collateralized loan obligations

173,475

173,475

Total available-for-sale securities

1,926,516

1,926,516

Other assets(2)

179

13,598

13,777

Liabilities

Other liabilities(3)

(6,105)

(2,300)

(8,405)

Total

$

179

$

1,934,009

$

(2,300)

$

1,931,888

(1)Backed by residential real estate.
(2)Other assets classified as Level 1 include money market funds that have quoted prices in active markets and are related to the Company’s deferred compensation plans. Other assets classified as Level 2 include derivative assets.
(3)Other liabilities include derivative liabilities.
Significant unobservable inputs used in fair value measurements for Level 3 assets and liabilities measured at fair value on a recurring basis

Quantitative Information about Level 3 Fair Value Measurements at June 30, 2025

Significant

(dollars in thousands)

Fair value

  

Valuation Technique

  

Unobservable Input

  

Range

Collateral-dependent loans

$

18,822

Financial Statement Values

Discounts to reflect estimated selling costs

0% - 50%

Visa derivative

(2,300)

Discounted Cash Flow

Expected Conversion Rate - 1.5342(1)

1.4280-1.5342

Expected Term - 6 months(2)

n/m(2)

Growth Rate - 8%(3)

-27% - 24%

Quantitative Information about Level 3 Fair Value Measurements at December 31, 2024

Significant

(dollars in thousands)

Fair value

  

Valuation Technique

  

Unobservable Input

  

Range

Collateral-dependent loans

$

20,734

Financial Statement Values

Discounts to reflect estimated selling costs

0% - 50%

Visa derivative

(2,300)

Discounted Cash Flow

Expected Conversion Rate - 1.5430(1)

1.4444-1.5430

Expected Term - 6 months(2)

n/m(2)

Growth Rate - 7%(3)

-21% - 19%

(1)Due to the uncertainty in the movement of the conversion rate, the current conversion rate as of the respective consolidated balance sheet dates was utilized in the fair value calculation.
(2)The expected term was based on a February 2025 claim filing deadline and subsequent period for claims to be processed. As such, a range is not meaningful to disclose.
(3)The growth rate was based on the arithmetic average of analyst price targets.
Summary of changes in Level 3 liabilities measured at fair value on a recurring basis

Visa Derivative

(dollars in thousands)

2025

  

2024

Three Months Ended June 30, 

Balance as of April 1,

$

(2,300)

$

(2,300)

Total net losses included in other noninterest income

(903)

(1,354)

Settlements

903

1,354

Balance as of June 30, 

$

(2,300)

$

(2,300)

Total net losses included in net income attributable to the change in unrealized losses related to liabilities still held as of June 30, 

$

(903)

$

(1,354)

Six Months Ended June 30, 

Balance as of January 1,

$

(2,300)

$

(2,300)

Total net losses included in other noninterest income

(2,195)

(2,830)

Settlements

2,195

2,830

Balance as of June 30, 

$

(2,300)

$

(2,300)

Total net losses included in net income attributable to the change in unrealized losses related to liabilities still held as of June 30, 

$

(2,195)

$

(2,830)

Summary of estimated fair value of financial instruments not required to be carried at fair value on a recurring basis

June 30, 2025

Fair Value Measurements

Quoted Prices in

Significant

Significant

Active Markets

Other

Unobservable

for Identical

Observable

Inputs

(dollars in thousands)

  

Book Value

  

Assets (Level 1)

  

Inputs (Level 2)

  

(Level 3)

  

Total

Financial assets:

Cash and cash equivalents

$

1,399,035

$

304,624

$

1,094,411

$

$

1,399,035

Investment securities held-to-maturity

3,658,814

3,230,698

3,230,698

Loans(1)

13,924,929

13,454,110

13,454,110

Financial liabilities:

Time deposits(2)

$

3,389,505

$

$

3,371,353

$

$

3,371,353

Short-term borrowings

250,000

249,772

249,772

December 31, 2024

Fair Value Measurements

Quoted Prices in

Significant

Significant

Active Markets

Other

Unobservable

for Identical

Observable

Inputs

(dollars in thousands)

  

Book Value

  

Assets (Level 1)

  

Inputs (Level 2)

  

(Level 3)

  

Total

Financial assets:

Cash and cash equivalents

$

1,170,190

$

258,057

$

912,133

$

$

1,170,190

Investment securities held-to-maturity

3,790,650

3,262,509

3,262,509

Loans(1)

13,973,608

13,373,785

13,373,785

Financial liabilities:

Time deposits(2)

$

3,298,370

$

$

3,280,119

$

$

3,280,119

Short-term borrowings

250,000

249,312

249,312

(1)Excludes financing leases of $427.0 million at June 30, 2025 and $434.7 million at December 31, 2024.
(2)Excludes deposit liabilities with no defined or contractual maturity of $16.8 billion as of June 30, 2025 and $17.0 billion as of December 31, 2024.
Schedule of assets with fair value adjustments on a nonrecurring basis

(dollars in thousands)

  

Level 1

  

Level 2

  

Level 3

June 30, 2025

Collateral-dependent loans

$

$

$

18,822

December 31, 2024

Collateral-dependent loans

$

$

$

20,734