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INVESTMENT SECURITIES - Schedule of Investment Securities (Details) - USD ($)
$ in Thousands
Jun. 30, 2025
Dec. 31, 2024
Investment securities    
Available-for-sale:    
Amount Outstanding $ 6,834,492 $ 6,183,545
Amortized Cost 6,756,185 6,105,116
Allowance for losses (28) (27)
Unrealized Gains 28,996 9,514
Unrealized Losses (111,122) (161,589)
Fair Value 6,674,031 5,953,014
Held-to-maturity:    
Amount Outstanding 8,970 9,270
Amortized Cost 8,970 9,270
Allowance for losses 0 0
Unrealized Gains 366 270
Unrealized Losses 0 0
Fair Value 9,336 9,540
Available-for-sale, accrued interest excluded 26,300 22,300
Available-for-Sale Securities | Investment securities    
Available-for-sale:    
Unamortized Premium/(Discount) (78,307) (78,429)
Held-to-maturity:    
Unamortized Premium/(Discount) (78,307) (78,429)
Held-to-Maturity Securities | Investment securities    
Available-for-sale:    
Unamortized Premium/(Discount) 0 0
Held-to-maturity:    
Unamortized Premium/(Discount) 0 0
Floating interest rate | Floating rate auction-rate certificates backed by Government guaranteed student loans    
Available-for-sale:    
Amount Outstanding 19,700 19,700
Amortized Cost 19,700 19,700
Allowance for losses (28) (27)
Unrealized Gains 0 0
Unrealized Losses (197) (197)
Fair Value 19,475 19,476
Floating interest rate | Guaranteed mortgage-backed securities    
Available-for-sale:    
Amount Outstanding 2,396,079 2,317,032
Amortized Cost 2,394,723 2,316,191
Allowance for losses 0 0
Unrealized Gains 2,287 3,484
Unrealized Losses (15,033) (13,950)
Fair Value 2,381,977 2,305,725
Floating interest rate | Available-for-Sale Securities | Floating rate auction-rate certificates backed by Government guaranteed student loans    
Available-for-sale:    
Unamortized Premium/(Discount) 0 0
Held-to-maturity:    
Unamortized Premium/(Discount) 0 0
Floating interest rate | Available-for-Sale Securities | Guaranteed mortgage-backed securities    
Available-for-sale:    
Unamortized Premium/(Discount) (1,356) (841)
Held-to-maturity:    
Unamortized Premium/(Discount) (1,356) (841)
Fixed Interest Rate | Guaranteed mortgage-backed securities    
Available-for-sale:    
Amount Outstanding 2,931,421 2,544,136
Amortized Cost 2,861,704 2,477,291
Allowance for losses 0 0
Unrealized Gains 21,474 3,426
Unrealized Losses (94,836) (142,750)
Fair Value 2,788,342 2,337,967
Held-to-maturity:    
Amount Outstanding 8,970 9,270
Amortized Cost 8,970 9,270
Allowance for losses 0 0
Unrealized Gains 366 270
Unrealized Losses 0 0
Fair Value $ 9,336 $ 9,540
Held-to-maturity investment securities weighted average yield 6.40% 6.40%
Fixed Interest Rate | Fixed rate U.S. Treasuries    
Available-for-sale:    
Amount Outstanding $ 1,487,292 $ 1,302,677
Amortized Cost 1,480,058 1,291,934
Allowance for losses 0 0
Unrealized Gains 5,235 2,604
Unrealized Losses (1,056) (4,692)
Fair Value 1,484,237 1,289,846
Fixed Interest Rate | Available-for-Sale Securities | Guaranteed mortgage-backed securities    
Available-for-sale:    
Unamortized Premium/(Discount) (69,717) (66,845)
Held-to-maturity:    
Unamortized Premium/(Discount) (69,717) (66,845)
Fixed Interest Rate | Available-for-Sale Securities | Fixed rate U.S. Treasuries    
Available-for-sale:    
Unamortized Premium/(Discount) (7,234) (10,743)
Held-to-maturity:    
Unamortized Premium/(Discount) (7,234) (10,743)
Fixed Interest Rate | Held-to-Maturity Securities | Guaranteed mortgage-backed securities    
Available-for-sale:    
Unamortized Premium/(Discount) 0 0
Held-to-maturity:    
Unamortized Premium/(Discount) $ 0 $ 0