v3.26.1
Securities - AFS and HTM, Amortized Cost and FV (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Jun. 30, 2026
Jun. 30, 2025
Dec. 31, 2025
Available for sale          
Amortized Cost $ 1,519,183   $ 1,519,183   $ 1,554,096
Unrealized Gains 1,731   1,731   4,090
Unrealized Losses (70,322)   (70,322)   (67,138)
Available for sale securities 1,450,592   1,450,592   1,491,048
Held to maturity          
Amortized Cost 745,175   745,175   728,329
Unrealized Gains 379   379   1,199
Unrealized Losses (58,830)   (58,830)   (54,638)
Held to maturity, fair value 686,724   686,724   674,890
Equity Securities          
Unrealized net gains (losses) from equity securities 200   200   200
Equity, at fair value 287   287   265
Net (losses) gains due to changes in the fair value of equity securities 100 $ (400)   $ (400)  
Recognized net (loss) gain on equity securities (100)   (100)    
U.S. Treasury securities          
Available for sale          
Amortized Cost         4,998
Unrealized Losses         (55)
Available for sale securities         4,943
Bonds          
Available for sale          
Amortized Cost 75,977   75,977   81,418
Unrealized Gains 62   62   138
Unrealized Losses (467)   (467)   (349)
Available for sale securities 75,572   75,572   81,207
Residential mortgage-backed securities          
Available for sale          
Amortized Cost 384,699   384,699   411,571
Unrealized Gains 549   549   1,553
Unrealized Losses (23,790)   (23,790)   (22,064)
Available for sale securities 361,458   361,458   391,060
Held to maturity          
Amortized Cost 288,824   288,824   265,349
Unrealized Gains 161   161   515
Unrealized Losses (20,586)   (20,586)   (18,308)
Held to maturity, fair value 268,399   268,399   247,556
Commercial mortgage-backed securities          
Available for sale          
Amortized Cost 282,006   282,006   243,888
Unrealized Gains 530   530   830
Unrealized Losses (3,609)   (3,609)   (4,382)
Available for sale securities 278,927   278,927   240,336
Held to maturity          
Amortized Cost 105,606   105,606   122,636
Unrealized Gains 109   109   327
Unrealized Losses (6,045)   (6,045)   (6,088)
Held to maturity, fair value 99,670   99,670   116,875
Collateralized mortgage obligations          
Available for sale          
Amortized Cost 677,810   677,810   716,201
Unrealized Gains 225   225   917
Unrealized Losses (38,941)   (38,941)   (36,593)
Available for sale securities 639,094   639,094   680,525
Held to maturity          
Amortized Cost 270,179   270,179   262,203
Unrealized Gains 12   12   223
Unrealized Losses (27,459)   (27,459)   (25,577)
Held to maturity, fair value 242,732   242,732   236,849
Corporate debt securities          
Available for sale          
Amortized Cost 66,015   66,015   62,683
Unrealized Gains 340   340   613
Unrealized Losses (1,135)   (1,135)   (1,304)
Available for sale securities 65,220   65,220   61,992
Loss due to change in fair value 100   100    
States and political subdivisions          
Available for sale          
Amortized Cost 32,676   32,676   33,337
Unrealized Gains 25   25   39
Unrealized Losses (2,380)   (2,380)   (2,391)
Available for sale securities 30,321   30,321   30,985
Held to maturity          
Amortized Cost 80,566   80,566   78,141
Unrealized Gains 97   97   134
Unrealized Losses (4,740)   (4,740)   (4,665)
Held to maturity, fair value $ 75,923   $ 75,923   $ 73,610