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Derivative Financial Instruments (Details) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Sep. 30, 2022
Sep. 30, 2021
Sep. 30, 2022
Sep. 30, 2021
Dec. 31, 2021
The periodic changes in the fair value of the derivative financial instruments on the condensed consolidated statements of income          
Pledged in collateral $ 2,900   $ 2,900   $ 3,900
Other income          
The periodic changes in the fair value of the derivative financial instruments on the condensed consolidated statements of income          
Net swap gains (losses) 499 $ (1,013) 4,913 $ (604)  
Loans held for sale          
The periodic changes in the fair value of the derivative financial instruments on the condensed consolidated statements of income          
Net swap gains (losses) 107   102    
Derivative assets          
Derivative Financial Instruments          
Derivative assets, fair value 4,475   4,475   350
Derivative liabilities          
Derivative Financial Instruments          
Derivative liabilities, fair value 440   440   159
Interest rate lock commitments          
Derivative Financial Instruments          
Notional amount 22,266   22,266   58,701
Interest rate lock commitments | Other income          
The periodic changes in the fair value of the derivative financial instruments on the condensed consolidated statements of income          
Net swap gains (losses) (592) (691) (637) (6,389)  
Interest rate lock commitments | Derivative assets          
Derivative Financial Instruments          
Derivative assets, fair value 24   24   264
Interest rate lock commitments | Derivative liabilities          
Derivative Financial Instruments          
Derivative liabilities, fair value 438   438   41
Forward contracts          
Derivative Financial Instruments          
Notional amount 29,213   29,213   81,250
Forward contracts | Other income          
The periodic changes in the fair value of the derivative financial instruments on the condensed consolidated statements of income          
Net swap gains (losses) 1,091 (322) 5,550 5,785  
Forward contracts | Derivative assets          
Derivative Financial Instruments          
Derivative assets, fair value 1,046   1,046   86
Forward contracts | Derivative liabilities          
Derivative Financial Instruments          
Derivative liabilities, fair value 2   2   118
Interest rate swaps          
Derivative Financial Instruments          
Notional amount 50,080   50,080    
The periodic changes in the fair value of the derivative financial instruments on the condensed consolidated statements of income          
Gross swap gains 249 371 2,282 1,452  
Gross swap losses 249 $ 371 2,282 $ 1,452  
Interest rate swaps | Loans held for sale          
The periodic changes in the fair value of the derivative financial instruments on the condensed consolidated statements of income          
Net swap gains (losses) 3,245   3,405    
Interest rate swaps | Derivative assets          
Derivative Financial Instruments          
Derivative assets, fair value 3,405   3,405    
Interest rate swaps (back-to-back)          
Derivative Financial Instruments          
Notional amount 78,346   78,346   135,686
Interest rate swaps (back-to-back) | Derivative assets          
Derivative Financial Instruments          
Derivative assets, fair value 3,413   3,413   1,131
Interest rate swaps (back-to-back) | Derivative liabilities          
Derivative Financial Instruments          
Derivative liabilities, fair value 3,413   3,413   $ 1,131
Loans held for sale | Loans held for sale          
The periodic changes in the fair value of the derivative financial instruments on the condensed consolidated statements of income          
Net swap gains (losses) $ (3,138)   $ (3,303)