Quarterly report pursuant to Section 13 or 15(d)

COMMITMENTS AND CONTINGENCIES (Tables)

v3.21.2
COMMITMENTS AND CONTINGENCIES (Tables)
6 Months Ended
Jun. 30, 2021
Commitments and Contingencies Disclosure [Abstract]  
Balances of Commitments and Contingencies

The following table presents the balances of commitments and contingencies as of the following dates (dollars in thousands):

​

​

​

​

​

​

​

​

    

June 30, 2021

    

December 31, 2020

Commitments with off-balance sheet risk:

 

​

  

 

​

  

Commitments to extend credit (1)

​

$

5,939,757

​

$

4,722,412

Letters of credit

​

 

159,029

​

 

161,827

Total commitments with off-balance sheet risk

​

$

6,098,786

​

$

4,884,239

(1) Includes unfunded overdraft protection.

​

​

​

​

​

​

Schedule of Pledged Assets, Not Separately Reported on Statement of Financial Position

As part of the Company’s liquidity management strategy, it pledges collateral to secure various financing and other activities that occur during the normal course of business. The following tables present the types of collateral pledged, at June 30, 2021 and December 31, 2020 (dollars in thousands):

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

Pledged Assets as of June 30, 2021

​

​

​

​

    

​

​

    

AFS

    

HTM

    

​

​

    

​

​

​

​

Cash

​

Securities (1)

​

Securities (1)

​

Loans (2)

​

Total

Public deposits

​

$

—

​

$

506,490

​

$

430,264

​

$

—

​

$

936,754

Repurchase agreements

​

 

—

​

 

146,847

​

 

—

​

 

—

​

 

146,847

FHLB advances

​

 

—

​

 

48,520

​

 

—

​

 

4,389,787

​

 

4,438,307

Derivatives

​

 

73,274

​

 

65,978

​

 

—

​

 

—

​

 

139,252

Fed Funds

​

​

—

​

​

—

​

​

—

​

​

352,188

​

​

352,188

Other purposes

​

 

—

​

​

23,022

​

​

990

​

​

—

​

​

24,012

Total pledged assets

​

$

73,274

​

$

790,857

​

$

431,254

​

$

4,741,975

​

$

6,037,360

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

(1) Balance represents market value.

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

(2) Balance represents book value.

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

Pledged Assets as of December 31, 2020

​

​

​

​

    

​

​

    

AFS

    

HTM

    

​

​

    

​

​

​

​

Cash

​

Securities (1)

​

Securities (1)

​

Loans (2)

​

Total

Public deposits

​

$

—

​

$

469,864

​

$

436,449

​

$

—

​

$

906,313

Repurchase agreements

​

 

—

​

 

116,876

​

 

—

​

 

—

​

 

116,876

FHLB advances

​

 

—

​

 

52,323

​

 

—

​

 

4,374,383

​

 

4,426,706

Derivatives

​

 

251,047

​

 

785

​

 

—

​

 

—

​

 

251,832

Fed Funds

​

​

—

​

​

—

​

​

—

​

​

340,847

​

​

340,847

Other purposes

​

 

—

​

 

123,388

​

 

8,634

​

 

—

​

 

132,022

Total pledged assets

​

$

251,047

​

$

763,236

​

$

445,083

​

$

4,715,230

​

$

6,174,596

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

(1) Balance represents market value.

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

(2) Balance represents book value.

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​