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Long-Term Debt and FHLB Stock (Tables)
6 Months Ended
Jun. 30, 2023
Long-Term Debt and FHLB Stock  
Schedule of outstanding principal amounts and related terms of FHLBNY borrowings

Term

    

Principal

    

Maturity

    

Rate

    

Due in one year

    

Long term

Fixed medium-term

722

October 31, 2025

4.87

%  

722

Fixed medium-term

5,000

November 3, 2025

4.87

%  

5,000

Fixed medium-term

728

December 5, 2025

4.34

%  

728

Fixed short-term

10,000

September 5, 2023

5.38

%  

10,000

Fixed medium-term

20,000

March 20, 2025

4.47

%  

20,000

Fixed medium-term

20,000

March 21, 2024

5.18

%  

20,000

Fixed short-term

10,000

August 21, 2023

5.23

%  

10,000

Fixed short-term

10,000

October 23, 2023

5.23

%  

10,000

Fixed short-term

10,000

December 21, 2023

5.24

%  

10,000

Fixed medium-term

20,000

May 2, 2028

3.88

%

20,000

Total

$

106,450

Weighted Average Rate

 

4.81

%  

$

60,000

$

46,450