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Other Borrowed Funds Other Borrowed Funds (Tables)
12 Months Ended
Dec. 31, 2024
Debt Disclosure [Abstract]  
Schedule of Other Borrowed Funds [Table Text Block]
Information relating to other borrowings is summarized as follows (dollars in thousands):
 As ofYear Ended
December 31, 2024December 31, 2024
BalanceRateAverage BalanceRateMaximum
Outstanding
At Any
Month End
Funds purchased$615,809 4.21 %$613,294 4.66 %$899,447 
Repurchase agreements677,047 1.45 %682,699 3.49 %1,627,169 
Other borrowings:
Federal Home Loan Bank advances3,000,000 4.58 %6,181,011 5.45 %6,700,000 
GNMA repurchase liability17,628 3.83 %13,914 4.17 %17,628 
Other12,495 4.78 %13,729 6.04 %14,800 
Total other borrowings3,030,123 6,208,654 5.45 %
Subordinated debentures1
131,200 6.43 %131,163 7.03 %131,200 
Total other borrowed funds$4,454,179 $7,635,810 5.24 %

 As ofYear Ended
December 31, 2023December 31, 2023
BalanceRateAverage BalanceRateMaximum
Outstanding
At Any
Month End
Funds purchased$515,747 5.17 %$847,676 4.83 %$1,711,580 
Repurchase agreements607,001 1.70 %1,805,978 4.32 %4,433,480 
Other borrowings:
Federal Home Loan Bank advances7,675,000 5.51 %5,948,863 5.28 %7,875,000 
GNMA repurchase liability11,660 4.13 %11,224 4.04 %12,414 
Other14,892 5.50 %19,008 3.91 %26,311 
Total other borrowings7,701,552 5,979,095 5.28 %
Subordinated debentures1
131,150 6.93 %131,155 6.83 %131,164 
Total other borrowed funds$8,955,450 $8,763,904 5.06 %

As ofYear Ended
December 31, 2022December 31, 2022
BalanceRateAverage BalanceRateMaximum
Outstanding
At Any
Month End
Funds purchased$99,843 0.05 %$266,344 1.12 %$444,069 
Repurchase agreements2,170,534 4.42 %998,701 1.02 %3,034,312 
Other borrowings:
Federal Home Loan Bank advances4,700,000 4.48 %1,593,699 2.37 %4,700,000 
GNMA repurchase liability10,608 4.06 %6,692 4.38 %11,011 
Other26,300 3.20 %28,581 3.12 %30,382 
Total other borrowings4,736,908 1,628,972 2.41 %
Subordinated debentures1
131,205 6.34 %131,206 4.95 %131,230 
Total other borrowed funds$7,138,490 $3,025,223 1.95 %
Schedule of Maturities of Other Borrowed Funds [Table Text Block]
Aggregate annual principal repayments at December 31, 2024 are as follows (in thousands):
2025$4,214,262 
2026103,288 
20271,807 
2028— 
2029— 
Thereafter134,822 
Total$4,454,179