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Debt and FHLB Stock (Tables)
12 Months Ended
Dec. 31, 2024
Debt and FHLB Stock  
Schedule of outstanding principal amounts and related terms of FHLBNY borrowings The outstanding principal amounts and the related terms and rates at December 31, 2024 were as follows:

Term

    

Principal

    

Maturity

    

Rate

    

Due in one year

    

Long term

Fixed short-term

$

20,000

January 31, 2025

4.50

%  

$

20,000

$

Fixed medium-term

20,000

March 20, 2025

4.47

%.

20,000

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 medium-term

1,233

September 21, 2026

5.20

%

1,233

Fixed medium-term

381

November 9, 2026

5.04

%  

381

Fixed medium-term

969

May 3, 2027

4.99

%  

969

Fixed medium-term

740

June 21, 2027

4.73

%  

740

Fixed medium-term

20,000

May 2, 2028

3.88

%

20,000

Total

$

69,773

Weighted Average Rate

 

4.37

%  

$

46,450

$

23,323