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Regulatory Capital Requirements (Tables)
12 Months Ended
Dec. 31, 2021
Regulatory Capital Requirements Under Banking Regulations [Abstract]  
Schedule of Compliance With Regulatory Capital Requirements Under Banking Regulations
Capital amounts and ratios for Red River Bank as of December 31, 2021 and 2020, are presented in the following table:
Regulatory Requirements
Actual
Minimum
Minimum Plus CCB
(dollars in thousands)AmountRatioAmountRatioAmountRatio
December 31, 2021
Total Risk-Based Capital$305,771 17.06 %$143,372 8.00 %$188,176 10.50 %
Tier I Risk-Based Capital$286,595 15.99 %$107,529 6.00 %$152,333 8.50 %
Common Equity Tier I Capital$286,595 15.99 %$80,647 4.50 %$125,451 7.00 %
Tier I Leverage Capital$286,595 9.23 %$124,241 4.00 %$124,241 4.00 %
December 31, 2020
Total Risk-Based Capital$271,061 17.17 %$126,307 8.00 %$165,778 10.50 %
Tier I Risk-Based Capital$253,110 16.03 %$94,731 6.00 %$134,202 8.50 %
Common Equity Tier I Capital$253,110 16.03 %$71,048 4.50 %$110,519 7.00 %
Tier I Leverage Capital$253,110 9.98 %$101,495 4.00 %$101,495 4.00 %
Capital amounts and ratios for Red River Bancshares, Inc. as of December 31, 2021 and 2020, are presented in the following table:
Actual
(dollars in thousands)AmountRatio
December 31, 2021
Total Risk-Based Capital$319,553 17.83 %
Tier I Risk-Based Capital$300,377 16.76 %
Common Equity Tier I Capital$300,377 16.76 %
Tier I Leverage Capital$300,377 9.67 %
December 31, 2020
Total Risk-Based Capital$294,962 18.68 %
Tier I Risk-Based Capital$277,011 17.55 %
Common Equity Tier I Capital$277,011 17.55 %
Tier I Leverage Capital$277,011 10.92 %