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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Cash flows from operating activities:      
Net income $ 58,471 $ 49,717 $ 62,745
Adjustments to reconcile net income to net cash from operating activities:      
Provision for credit losses 5,195 4,300 4,610
Provision for foreclosed asset losses 100 108 142
Depreciation and amortization 5,814 6,510 6,412
Accretion and amortization 2,713 2,844 3,381
Other gains, net (284) (216) (275)
Gain on sale of subsidiary 0 0 (33,778)
Loss on sale of securities 0 0 3,409
Net gain on sales of loans (9,605) (10,524) (11,027)
Proceeds from sales of loans held for sale 288,422 296,163 347,583
Loans originated for sale (269,348) (292,640) (322,122)
Deferred income tax expense (benefit) (1,023) (1,049) 99
Earnings on bank-owned life insurance (1,640) (1,550) (1,330)
Stock-based compensation 2,624 2,318 2,157
Change in valuation of mortgage servicing rights 3,331 1,235 2,375
Net change in:      
Accrued interest receivable and other assets 2,957 1,423 (8,502)
Accrued expenses and other liabilities (10,237) 742 2,660
Net cash from operating activities 77,490 59,381 58,539
Activity in securities available for sale:      
Purchases (420,944) (304,783) (199,898)
Sales 0 0 52,828
Maturities, prepayments, and calls 449,808 337,941 240,106
Loan originations and principal collections, net (95,802) (46,287) (270,196)
Purchases of premises and equipment (5,661) (3,354) (4,681)
Proceeds from sales of premises and equipment 2,258 380 968
Proceeds from sale of subsidiary 0 0 36,080
Capital improvements to foreclosed assets (131) 0 0
Proceeds from sales of foreclosed assets 2,247 2,176 1,417
Net cash from investing activities (68,225) (13,927) (143,376)
Cash flows from financing activities:      
Net change in deposits 253,201 (5,277) 219,723
Proceeds from common stock issuance 451 0 0
Payments to tax authorities for stock-based compensation (933) (759) (731)
Payments made on subordinated debt (50,000) 0 (12,372)
Cash dividends paid on common stock (10,101) (9,154) (8,745)
Payments to repurchase common stock (8,526) (1,340) (17,763)
Net cash from financing activities 184,092 (16,530) 180,112
Net change in cash and cash equivalents 193,357 28,924 95,275
Beginning cash and cash equivalents 359,082 330,158 234,883
Ending cash and cash equivalents 552,439 359,082 330,158
Supplemental disclosures of cash flow information:      
Interest paid on deposits and borrowed funds 86,093 92,750 70,065
Supplemental schedule of noncash activities:      
Loans transferred to foreclosed assets 3,437 1,927 2,130
Premises and equipment transferred to foreclosed assets 0 0 172
Additions to mortgage servicing rights $ 1,080 $ 958 $ 1,470