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Assets and Liabilities Measured at Fair Value - Reconciliation for measurements at fair value on a recurring basis using significant unobservable inputs (Details) - Recurring - Level 3 - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2020
Mar. 31, 2019
Derivative Asset    
Reconciliation of Assets at Level 3 Measurement    
Balance at beginning of period $ 7,238 $ 11,841
Additions 0 0
Sales and settlements 0 (1,135)
Other comprehensive income 0 0
Amounts included in earnings - fair value adjustments 123 (1,145)
Balance at end of period 7,361 9,561
Servicing rights for SBA/USDA loans    
Reconciliation of Assets at Level 3 Measurement    
Balance at beginning of period 6,794 7,510
Additions 95 375
Sales and settlements (307) (363)
Other comprehensive income 0 0
Amounts included in earnings - fair value adjustments (292) (121)
Balance at end of period 6,290 7,401
Residential mortgage servicing rights    
Reconciliation of Assets at Level 3 Measurement    
Balance at beginning of period 13,565 11,877
Additions 2,115 863
Sales and settlements (493) (150)
Other comprehensive income 0 0
Amounts included in earnings - fair value adjustments (4,128) (1,143)
Balance at end of period 11,059 11,447
Debt Securities Available-for-Sale    
Reconciliation of Assets at Level 3 Measurement    
Balance at beginning of period 998 995
Additions 0 0
Sales and settlements (1,000) 0
Other comprehensive income 2 0
Amounts included in earnings - fair value adjustments 0 0
Balance at end of period 0 995
Derivative Liability    
Reconciliation of Liabilities at Level 3 Measurement    
Balance at beginning of period 8,559 15,732
Additions 0 0
Sales and settlements 0 (2,330)
Other comprehensive income 0 0
Amounts included in earnings - fair value adjustments (5,842) (1,958)
Balance at end of period $ 2,717 $ 11,444