v3.26.1
Deposits (Tables)
6 Months Ended
Jun. 30, 2026
Statistical Disclosure for Banks [Abstract]  
Schedule of Composition of Deposits
The composition of our deposits is as follows as of:
June 30,
2026
December 31,
2025
Noninterest-bearing deposit accounts$2,673,289 $1,651,373 
Interest-bearing deposit accounts:
Demand and NOW2,869,439 1,483,841 
Savings2,409,906 378,631 
Money market3,453,761 2,301,837 
Certificates of deposit:
Less than $1001,166,867 681,588 
$100 through $250386,563 282,386 
Greater than $250458,179 327,700 
Total interest-bearing deposit accounts10,744,715 5,455,983 
Total deposits$13,418,004 $7,107,356 
Schedule of Interest Expense Incurred on Deposits
The following table summarizes the interest expense incurred on our deposits:
For the three months ended
June 30,
For the six months ended
 June 30,
2026202520262025
Interest-bearing deposit accounts:
Demand and NOW$15,487 $6,707 $21,844 $12,689 
Savings16,323 576 16,797 1,145 
Money market26,726 15,802 42,797 28,725 
Certificates of deposit23,358 14,100 33,235 29,020 
Total interest-bearing deposit accounts$81,894 $37,185 $114,673 $71,579 
Schedule of Remaining Maturity on Certificate of Deposit Accounts
The remaining maturity on certificate of deposit accounts is as follows as of:
June 30,
2026
Remainder of 2026$1,324,865 
2027449,936 
2028143,857 
202989,488 
20301,780 
Thereafter1,683 
Total certificates of deposit$2,011,609