v3.25.2
INVESTMENTS (Tables)
6 Months Ended
Jun. 30, 2025
Investments, Debt and Equity Securities [Abstract]  
Summary of Held-To-Maturity and Available-For-Sale Investment Securities
The following is a summary of HTM and AFS investment securities as of June 30, 2025:
  
Held-to-maturityAvailable-for-sale
(Dollars in thousands)Amortized
cost
Unrecognized gainUnrecognized lossFair
value
Amortized
cost
Unrealized
gain
Unrealized
loss
Fair
value
U.S. Treasuries$$$$$100 $$(6)$94 
Securities of U.S. government agencies and corporations72,887 (7,384)65,503 
Mortgage-backed securities - residential 1,220,107 3,501 (83,293)1,140,315 
Mortgage-backed securities - commercial 29,345 (3,915)25,430 339,721 731 (17,847)322,605 
Collateralized mortgage obligations6,597 (580)6,017 715,460 5,138 (42,499)678,099 
Obligations of state and other political subdivisions8,302 47 (261)8,088 609,001 557 (116,346)493,212 
Asset-backed securities569,386 1,271 (14,009)556,648 
Other securities28,750 (2,041)26,709 137,762 302 (7,978)130,086 
Total$72,994 $47 $(6,797)$66,244 $3,664,424 $11,500 $(289,362)$3,386,562 
The following is a summary of HTM and AFS investment securities as of December 31, 2024:
  
Held-to-maturityAvailable-for-sale
(Dollars in thousands)Amortized
cost
Unrecognized gainUnrecognized
loss
Fair
value
Amortized
cost
Unrealized
gain
Unrealized
loss
Fair
value
U.S. Treasuries$$$$$99 $$(9)$90 
Securities of U.S. government agencies and corporations83,224 (11,546)71,678 
Mortgage-backed securities - residential 1,102,242 508 (104,208)998,542 
Mortgage-backed securities - commercial 30,444 (4,454)25,990 382,727 26 (25,381)357,372 
Collateralized mortgage obligations7,007 (788)6,219 620,315 1,449 (52,599)569,165 
Obligations of state and other political subdivisions8,259 42 (339)7,962 630,813 357 (109,904)521,266 
Asset-backed securities555,484 998 (22,379)534,103 
Other securities31,250 (2,432)28,818 137,748 120 (6,308)131,560 
Total$76,960 $42 $(8,013)$68,989 $3,512,652 $3,458 $(332,334)$3,183,776 
Summary of Investment Securities by Estimated Maturity
The following table provides a summary of investment securities by contractual maturity as of June 30, 2025, except for residential and commercial mortgage-backed securities, collateralized mortgage obligations and asset-backed securities, which are shown as single totals due to the unpredictability of the timing in principal repayments.
 Held-to-maturityAvailable-for-sale
(Dollars in thousands)Amortized
cost
Fair
value
Amortized
cost
Fair
value
By Contractual Maturity:
Due in one year or less$$$4,340 $3,261 
Due after one year through five years5,766 5,804 184,047 166,002 
Due after five years through ten years29,806 27,746 157,697 133,531 
Due after ten years1,480 1,247 473,666 386,101 
Mortgage-backed securities - residential 1,220,107 1,140,315 
Mortgage-backed securities - commercial 29,345 25,430 339,721 322,605 
Collateralized mortgage obligations6,597 6,017 715,460 678,099 
Asset-backed securities569,386 556,648 
Total$72,994 $66,244 $3,664,424 $3,386,562 
Debt Securities, Available-for-Sale, Unrealized Loss Position, Fair Value
The following tables provide the fair value and gross unrealized losses of AFS investment securities in an unrealized loss position for which an ACL has not been recorded, aggregated by investment category and the length of time the individual securities have been in a continuous loss position:

 June 30, 2025
 Less than 12 months12 months or moreTotal
(Dollars in thousands)Fair
value
Unrealized
loss
Fair
value
Unrealized
loss
Fair
value
Unrealized
loss
U.S. Treasuries$$$94 $(6)$94 $(6)
Securities of U.S. Government agencies and corporations65,503 (7,384)65,503 (7,384)
Mortgage-backed securities - residential 274,048 (4,022)476,547 (79,271)750,595 (83,293)
Mortgage-backed securities - commercial 14,186 (45)217,355 (17,802)231,541 (17,847)
Collateralized mortgage obligations42,687 (769)280,115 (41,730)322,802 (42,499)
Obligations of state and other political subdivisions10,699 (342)452,505 (116,004)463,204 (116,346)
Asset-backed securities133,327 (262)65,917 (13,747)199,244 (14,009)
Other securities113,785 (7,978)113,785 (7,978)
Total$474,947 $(5,440)$1,671,821 $(283,922)$2,146,768 $(289,362)

 December 31, 2024
 Less than 12 months12 months or moreTotal
(Dollars in thousands)Fair
value
Unrealized
loss
Fair
value
Unrealized
loss
Fair
value
Unrealized
loss
U.S. Treasuries$$$90 $(9)$90 $(9)
Securities of U.S. Government agencies and corporations71,678 (11,546)71,678 (11,546)
Mortgage-backed securities - residential417,516 (9,130)503,321 (95,078)920,837 (104,208)
Mortgage-backed securities - commercial26,516 (67)286,589 (25,314)313,105 (25,381)
Collateralized mortgage obligations120,670 (1,776)296,813 (50,823)417,483 (52,599)
Obligations of state and other political subdivisions19,636 (351)478,083 (109,553)497,719 (109,904)
Asset-backed securities26,389 (189)159,135 (22,190)185,524 (22,379)
Other securities9,988 (12)115,452 (6,296)125,440 (6,308)
Total$620,715 $(11,525)$1,911,161 $(320,809)$2,531,876 $(332,334)
The following tables provide the fair value and gross unrecognized losses of HTM investment securities in an unrecognized loss position for which an ACL has not been recorded, aggregated by investment category and the length of time the individual securities have been in a continuous loss position:
June 30, 2025
Less than 12 months12 months or moreTotal
(Dollars in thousands)Fair
value
Unrecognized
loss
Fair
value
Unrecognized
loss
Fair
value
Unrecognized
loss
U.S. Treasuries$$$$$$
Securities of U.S. Government agencies and corporations
Mortgage-backed securities - residential
Mortgage-backed securities - commercial25,430 (3,915)25,430 (3,915)
Collateralized mortgage obligations6,017 (580)6,017 (580)
Obligations of state and other political subdivisions2,273 (9)2,284 (252)4,557 (261)
Asset-backed securities
Other securities26,709 (2,041)26,709 (2,041)
Total$2,273 $(9)$60,440 $(6,788)$62,713 $(6,797)

December 31, 2024
Less than 12 months12 months or moreTotal
(Dollars in thousands)Fair
value
Unrecognized
loss
Fair
value
Unrecognized
loss
Fair
value
Unrecognized
loss
U.S. Treasuries$$$$$$
Securities of U.S. Government agencies and corporations
Mortgage-backed securities - residential
Mortgage-backed securities - commercial25,990 (4,454)25,990 (4,454)
Collateralized mortgage obligations6,219 (788)6,219 (788)
Obligations of state and other political subdivisions3,111 (33)2,288 (306)5,399 (339)
Asset-backed securities
Other securities28,818 (2,432)28,818 (2,432)
Total$3,111 $(33)$63,315 $(7,980)$66,426 $(8,013)