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Note 10 - Deposits - (Details Textual) - USD ($)
$ in Thousands
Dec. 31, 2022
Dec. 31, 2021
Percentage of Certificate of Deposit Maturities Year One 76.50%  
Percentage of Certificate of Deposit Maturities Year Two and Thereafter 23.50%  
Deposits, Total $ 4,820,345 $ 4,077,283
Interest-Bearing Domestic Deposit, Brokered 550,200 282,800
Interest Bearing Deposits Public Funds Brokered 131,900 92,600
Deposits Public Funds Non-brokered 504,100 493,200
Interest and Non-interest Bearing Deposits Liability [Member] | Top three customers [Member]    
Deposits, Total $ 168,900 $ 162,000
Percentage of Interest and Non-interest Bearing Domestic Deposits to Deposits 3.50% 4.00%