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DERIVATIVES (Tables)
3 Months Ended
Mar. 31, 2021
DERIVATIVES [Abstract]  
Fair Value Hedges
The following table reflects the fair value hedges included in the consolidated balance sheets:

 
March 31, 2021
   
December 31, 2020
 
   
Notional
Amount
   
Fair
Value
   
Notional
Amount
   
Fair
Value
 
                         
Included in other liabilities:
                       
Interest rate swaps related to fixed rate loans
 
$
10,077
   
$
617
   
$
10,178
   
$
927
 
                                 
Included in other assets:
                               
Interest rate swaps related to fixed rate loans
 
$
   
$
   
$
   
$
 

The following table reflects the cash flow hedges included in the consolidated balance sheets:

 
March 31, 2021
   
December 31, 2020
 
   
Notional
Amount
   
Fair
Value
   
Notional
Amount
   
Fair
Value
 
                         
Included in other liabilities:
                       
Cash flow swaps related to state and municipal securities
 
$
   
$
   
$
68,485
   
$
1,643
 
                                 
Included in other assets:
                               
Cash flow swaps related to state and municipal securities
 
$
123,760
   
$
6,781
   
$
55,275
   
$
1,618
 
Fair Value of Derivatives in Consolidated Balance Sheets
The following table reflects the amount and fair value of mortgage banking derivatives in the consolidated balance sheets:

 
March 31, 2021
   
December 31, 2020
 
   
Notional
Amount
   
Fair
Value
   
Notional
Amount
   
Fair
Value
 
                         
Included in other assets:
                       
Forward contracts related to mortgage loans held for sale
 
$
   
$
   
$
   
$
 
Interest rate lock commitments
   
214,670
     
6,204
     
210,716
     
5,115
 
                                 
Total included in other assets
 
$
214,670
   
$
6,204
   
$
210,716
   
$
5,115
 
                                 
Included in other liabilities:
                               
Forward contracts related to mortgage loans held for sale
 
$
202,497
   
$
1,888
   
$
203,669
   
$
1,787
 
Interest rate lock commitments
   
     
     
     
 
                                 
Total included in other liabilities
 
$
202,497
   
$
1,888
   
$
203,669
   
$
1,787