Derivative Financial Instruments (Details)
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3 Months Ended |
6 Months Ended |
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Jun. 30, 2026
USD ($)
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Jun. 30, 2025
USD ($)
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Jun. 30, 2026
USD ($)
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Jun. 30, 2025
USD ($)
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Dec. 31, 2025
USD ($)
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| Derivative Financial Instruments |
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| Number of warehouse loan customers |
2
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2
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| Changes in the fair value of the derivative financial instruments on the condensed consolidated statements of income |
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| Pledged in collateral |
$ 10,100,000
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$ 10,100,000
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$ 10,000,000
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| Derivative gain (loss) included in gain on sale of loans |
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| Changes in the fair value of the derivative financial instruments on the condensed consolidated statements of income |
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| Net gain (loss) |
$ 132,000
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$ (382,000)
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$ 315,000
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$ (1,390,000)
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| Derivative, Gain (Loss), Statement of Income or Comprehensive Income [Extensible Enumeration] |
Gain (Loss) on Sales of Loans, Net
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Gain (Loss) on Sales of Loans, Net
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Gain (Loss) on Sales of Loans, Net
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Gain (Loss) on Sales of Loans, Net
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| Derivative gain (loss) included in other income |
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| Changes in the fair value of the derivative financial instruments on the condensed consolidated statements of income |
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| Net gain (loss) |
$ 5,213,000
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$ 11,855,000
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$ 16,180,000
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$ 3,352,000
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| Derivative (loss) gain included in credit risk transfer premium expense |
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| Changes in the fair value of the derivative financial instruments on the condensed consolidated statements of income |
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| Net gain (loss) |
2,218,000
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2,149,000
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| Derivative assets |
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| Derivative Financial Instruments |
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| Derivative assets, fair value |
68,087,000
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68,087,000
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49,693,000
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| Derivative liabilities |
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| Derivative Financial Instruments |
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| Derivative liabilities, fair value |
915,000
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915,000
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574,000
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| Interest rate lock commitments |
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| Derivative Financial Instruments |
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| Notional amount |
218,622,000
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218,622,000
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142,540,000
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| Changes in the fair value of the derivative financial instruments on the condensed consolidated statements of income |
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| Net gain (loss) |
$ 1,307,000
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$ 224,000
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$ 155,000
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$ 408,000
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| Derivative, Gain (Loss), Statement of Income or Comprehensive Income [Extensible Enumeration] |
Gain (Loss) on Sales of Loans, Net
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Gain (Loss) on Sales of Loans, Net
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Gain (Loss) on Sales of Loans, Net
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Gain (Loss) on Sales of Loans, Net
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| Interest rate lock commitments | Derivative assets |
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| Derivative Financial Instruments |
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| Derivative assets, fair value |
$ 505,000
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$ 505,000
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227,000
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| Interest rate lock commitments | Derivative liabilities |
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| Derivative Financial Instruments |
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| Derivative liabilities, fair value |
230,000
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230,000
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107,000
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| Forward contracts |
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| Derivative Financial Instruments |
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| Notional amount |
335,838,000
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335,838,000
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146,452,000
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| Changes in the fair value of the derivative financial instruments on the condensed consolidated statements of income |
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| Net gain (loss) |
$ (1,175,000)
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$ (168,000)
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$ 160,000
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$ (518,000)
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| Derivative, Gain (Loss), Statement of Income or Comprehensive Income [Extensible Enumeration] |
Gain (Loss) on Sales of Loans, Net
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Gain (Loss) on Sales of Loans, Net
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Gain (Loss) on Sales of Loans, Net
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Gain (Loss) on Sales of Loans, Net
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| Forward contracts | Derivative assets |
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| Derivative Financial Instruments |
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| Derivative assets, fair value |
$ 49,000
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$ 49,000
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2,000
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| Forward contracts | Derivative liabilities |
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| Derivative Financial Instruments |
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| Derivative liabilities, fair value |
685,000
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685,000
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467,000
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| Interest rate swaps |
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| Derivative Financial Instruments |
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| Notional amount |
49,152,000
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49,152,000
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49,480,000
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| Changes in the fair value of the derivative financial instruments on the condensed consolidated statements of income |
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| Net gain (loss) |
$ 561,000
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$ (438,000)
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$ 909,000
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$ (1,280,000)
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| Derivative, Gain (Loss), Statement of Income or Comprehensive Income [Extensible Enumeration] |
Noninterest Income, Other
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Gain (Loss) on Sales of Loans, Net
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Noninterest Income, Other
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Gain (Loss) on Sales of Loans, Net
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| Interest rate swaps | Derivative assets |
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| Derivative Financial Instruments |
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| Derivative assets, fair value |
$ 3,003,000
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$ 3,003,000
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2,354,000
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| Interest rate swaps, caps and floors (back-to-back) |
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| Derivative Financial Instruments |
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| Notional amount |
1,272,950,000
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1,272,950,000
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1,178,034,000
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| Changes in the fair value of the derivative financial instruments on the condensed consolidated statements of income |
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| Gross swap gains |
5,022,000
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$ 5,162,000
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7,464,000
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$ 9,706,000
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| Gross swap losses |
(5,022,000)
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(5,162,000)
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(7,464,000)
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(9,706,000)
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| Interest rate swaps, caps and floors (back-to-back) | Derivative assets |
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| Derivative Financial Instruments |
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| Derivative assets, fair value |
175,000
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175,000
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7,289,000
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| Interest rate swaps, caps and floors (back-to-back) | Derivative liabilities |
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| Derivative Financial Instruments |
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| Derivative liabilities, fair value |
175,000
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175,000
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7,289,000
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| Put options |
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| Derivative Financial Instruments |
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| Notional amount |
575,910,000
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575,910,000
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608,885,000
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| Changes in the fair value of the derivative financial instruments on the condensed consolidated statements of income |
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| Net gain (loss) |
$ 2,741,000
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$ 7,522,000
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$ 10,664,000
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$ 1,277,000
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| Derivative, Gain (Loss), Statement of Income or Comprehensive Income [Extensible Enumeration] |
Noninterest Income, Other
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Noninterest Income, Other
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Noninterest Income, Other
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Noninterest Income, Other
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| Put options | Derivative assets |
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| Derivative Financial Instruments |
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| Derivative assets, fair value |
$ 48,234,000
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$ 48,234,000
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37,570,000
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| Interest rate floors |
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| Derivative Financial Instruments |
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| Notional amount |
1,065,460,000
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1,065,460,000
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1,089,679,000
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| Changes in the fair value of the derivative financial instruments on the condensed consolidated statements of income |
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| Net gain (loss) |
$ 1,911,000
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$ 4,333,000
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$ 4,607,000
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$ 2,075,000
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| Derivative, Gain (Loss), Statement of Income or Comprehensive Income [Extensible Enumeration] |
Noninterest Income, Other
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Noninterest Income, Other
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Noninterest Income, Other
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Noninterest Income, Other
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| Interest rate floors | Derivative assets |
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| Derivative Financial Instruments |
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| Derivative assets, fair value |
$ 14,147,000
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$ 14,147,000
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9,540,000
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| Credit default swaps |
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| Derivative Financial Instruments |
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| Aggregate collateral obligation |
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142,500,000
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| Notional amount |
141,368,000
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141,368,000
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$ 123,222,000
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| Changes in the fair value of the derivative financial instruments on the condensed consolidated statements of income |
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| Net gain (loss) |
$ 2,218,000
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$ 2,149,000
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| Derivative, Gain (Loss), Statement of Income or Comprehensive Income [Extensible Enumeration] |
Credit Risk Transfer, Premium Expense
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Credit Risk Transfer, Premium Expense
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| Credit default swaps | Derivative assets |
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| Derivative Financial Instruments |
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| Derivative assets, fair value |
$ 2,149,000
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$ 2,149,000
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