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FAIR VALUE - Summary of assets measured at fair value on recurring basis (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Corporate bonds    
Guarantee asset    
Acquisitions $ 2,113  
Ending balance 2,113  
Guarantee Asset    
Guarantee asset    
Beginning balance 232  
Originations 2  
Sales   $ 245
Gains (losses) in net income, net 3 55
Other settlements   (68)
Ending balance 237 232
IRLC,net    
Guarantee asset    
Beginning balance 9,841  
Ending balance 1,473 9,841
Fair value on a recurring basis    
Beginning balance 9,841 1,184
Acquisitions 19,526 34,345
Originations (25,804) (27,944)
Gains (losses) in net income, net (2,090) 2,256
Ending balance   9,841
Forward Commitment    
Guarantee asset    
Beginning balance (89)  
Ending balance (9) (89)
Forward Commitments    
Forward Commitments, Beginning balance (89)  
Forward Commitments, Acquisitions (182) (278)
Forward Commitments, Gains (losses) in net income, net $ 262 189
Forward Commitments, Ending balance   $ (89)