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Balance Sheet Offsetting (Tables)
6 Months Ended
Jun. 30, 2021
Offsetting [Abstract]  
Disclosure Detail Of Balance Sheet Offsetting Of Financial Assets And Liabilities
The following tables present the Company’s asset and liability positions that were eligible for offset and the potential effect of netting arrangements on its financial position, as of the dates indicated:
As of June 30, 2021
Gross
Amounts
Recognized
Gross
Amounts
Offset in the
Statement of
Financial
Position
Net
Amounts
Presented in
the Statement
of Financial
Position
Gross Amounts Not Offset
in the Statement of
Financial Position
Net
Amount
DescriptionFinancial
Instruments
Collateral
Pledged
(Received)
(In thousands)
Derivative Assets
Interest rate swaps$— $— $— $— $— $— 
Customer-related positions:
Interest rate swaps92,980 — 92,980 1,057 — 91,923 
Risk participation agreements432 — 432 — — 432 
Foreign currency exchange contracts – matched customer book94 — 94 — — 94 
Foreign currency exchange contracts – foreign currency loan48 — 48 — — 48 
$93,554 $— $93,554 $1,057 $— $92,497 
Derivative Liabilities
Interest rate swaps$— $— $— $— $— $— 
Customer-related positions:
Interest rate swaps28,498 — 28,498 1,057 27,441 — 
Risk participation agreements675 — 675 — — 675 
Foreign currency exchange contracts – matched customer book89 — 89 — — 89 
Foreign currency exchange contracts – foreign currency loan— — — — — — 
$29,262 $— $29,262 $1,057 $27,441 $764 
As of December 31, 2020
Gross
Amounts
Recognized
Gross
Amounts
Offset in the
Statement of
Financial
Position
Net
Amounts
Presented in
the Statement
of Financial
Position
Gross Amounts Not Offset
in the Statement of
Financial Position
Net
Amount
DescriptionFinancial
Instruments
Collateral
Pledged
(Received)
(In thousands)
Derivative Assets
Interest rate swaps$— $— $— $— $— $— 
Customer-related positions:
Interest rate swaps141,822 — 141,822 48 — 141,774 
Risk participation agreements722 — 722 — — 722 
Foreign currency exchange contracts – matched customer book90 — 90 — (1)89 
Foreign currency exchange contracts – foreign currency loan— — — 
$142,643 $— $142,643 $48 $(1)$142,594 
Derivative Liabilities
Interest rate swaps$— $— $— $— $— $— 
Customer-related positions:
Interest rate swaps42,600 — 42,600 48 42,552 — 
Risk participation agreements1,230 — 1,230 — — 1,230 
Foreign currency exchange contracts – matched customer book77 — 77 — — 77 
Foreign currency exchange contracts – foreign currency loan69 — 69 — — 69 
$43,976 $— $43,976 $48 $42,552 $1,376