v3.26.1
Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2026
Fair Value Disclosures [Abstract]  
Schedule of Assets and Liabilities Measured at Fair Value on a Recurring Basis
The following tables present assets and liabilities measured at fair value on a recurring basis at the dates indicated (in thousands):
June 30, 2026
Level 1Level 2Total
Investment securities available for sale:
U.S. Treasury securities$307,677 $— $307,677 
U.S. Government agency and sponsored enterprise residential MBS— 2,229,375 2,229,375 
U.S. Government agency and sponsored enterprise commercial MBS— 750,700 750,700 
Private label residential MBS and CMOs— 2,526,164 2,526,164 
Private label commercial MBS— 2,364,360 2,364,360 
Single family real estate-backed securities— 182,795 182,795 
Collateralized loan obligations— 772,056 772,056 
Non-mortgage asset-backed securities— 56,498 56,498 
State and municipal obligations— 69,703 69,703 
SBA securities— 52,534 52,534 
Marketable equity securities5,752 — 5,752 
Derivative assets— 62,172 62,172 
Total assets at fair value$313,429 $9,066,357 $9,379,786 
Derivative liabilities$— $(77,917)$(77,917)
Total liabilities at fair value$— $(77,917)$(77,917)
December 31, 2025
Level 1Level 2Total
Investment securities available for sale:
U.S. Treasury securities
$268,653 $— $268,653 
U.S. Government agency and sponsored enterprise residential MBS— 2,563,027 2,563,027 
U.S. Government agency and sponsored enterprise commercial MBS— 534,363 534,363 
Private label residential MBS and CMOs— 2,490,828 2,490,828 
Private label commercial MBS— 2,168,110 2,168,110 
Single family real estate-backed securities— 225,892 225,892 
Collateralized loan obligations— 780,944 780,944 
Non-mortgage asset-backed securities— 58,765 58,765 
State and municipal obligations— 109,520 109,520 
SBA securities— 57,815 57,815 
Marketable equity securities
5,734 — 5,734 
Derivative assets— 85,156 85,156 
Total assets at fair value$274,387 $9,074,420 $9,348,807 
Derivative liabilities$— $(79,816)$(79,816)
Total liabilities at fair value$— $(79,816)$(79,816)
Schedule of Assets for Which Nonrecurring Changes in Fair Value have been Recorded
The following table presents the net carrying value of assets classified within level 3 of the fair value hierarchy at the dates indicated, for which non-recurring changes in fair value were recorded during the period then ended (in thousands):
June 30, 2026December 31, 2025
Collateral dependent loans$74,984 $183,259 
OREO963 512 
$75,947 $183,771 
Schedule of the Carrying Value and Fair Value of Financial Instruments
The following table presents the carrying value and fair value of financial instruments and the level within the fair value hierarchy in which those measurements are classified at the dates indicated (dollars in thousands):
June 30, 2026December 31, 2025
LevelCarrying ValueFair ValueCarrying ValueFair Value
Assets:
Cash and cash equivalents1$367,873 $367,873 $217,784 $217,784 
Investment securities 1/2$9,317,614 $9,317,614 $9,263,651 $9,263,651 
Non-marketable equity securities2$144,652 $144,652 $140,684 $140,684 
Loans, net3$23,711,557 $23,394,467 $24,053,882 $23,707,267 
Derivative assets2$62,172 $62,172 $85,156 $85,156 
Liabilities:
Demand, savings and money market deposits2$26,512,467 $26,512,467 $25,464,221 $25,464,221 
Time deposits2$2,368,781 $2,361,568 $3,888,684 $3,887,392 
Federal funds purchased 2$265,000 $265,000 $— $— 
FHLB advances2$1,630,000 $1,629,994 $1,555,000 $1,555,021 
Notes and other borrowings2$318,936 $313,143 $319,740 $318,456 
Derivative liabilities2$77,917 $77,917 $79,816 $79,816