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Assets and Liabilities Measured at Fair Value - Reconciliation of Assets Measured at Fair Value on a Recurring Basis Using Significant Unobservable Inputs (Details) - Recurring - Level 3 - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2024
Mar. 31, 2023
Derivative Liabilities    
Liabilities:    
Beginning balance $ 11,172 $ 12,840
Business combinations 0 0
Additions 0 3
Transfers from Level 2 925 0
Sales and settlements 0 0
Fair value adjustments included in OCI 0 0
Fair value adjustments included in earnings 1,088 (1,648)
Ending balance 13,185 11,195
Derivative Assets    
Assets:    
Beginning balance 10,642 11,513
Business combinations 0 0
Additions 1,466 0
Transfers from Level 2 484 0
Sales and settlements (923) (11)
Fair value adjustments included in OCI 0 0
Fair value adjustments included in earnings 1,142 (154)
Ending balance 12,811 11,348
SBA/USDA loan servicing rights    
Assets:    
Beginning balance 5,444 5,188
Business combinations 0 95
Additions 170 460
Transfers from Level 2 0 0
Sales and settlements (241) (220)
Fair value adjustments included in OCI 0 0
Fair value adjustments included in earnings 134 766
Ending balance 5,507 6,289
Residential mortgage servicing rights    
Assets:    
Beginning balance 35,897 36,559
Business combinations 0 0
Additions 718 632
Transfers from Level 2 0 0
Sales and settlements (760) (452)
Fair value adjustments included in OCI 0 0
Fair value adjustments included in earnings 1,503 (658)
Ending balance 37,358 36,081
Corporate Bonds    
Assets:    
Beginning balance 2,205 2,212
Business combinations 0 0
Additions 0 0
Transfers from Level 2 0 0
Sales and settlements 0 0
Fair value adjustments included in OCI (45) 15
Fair value adjustments included in earnings 0 0
Ending balance $ 2,160 $ 2,227