XML 40 R29.htm IDEA: XBRL DOCUMENT v3.20.2
Derivative Financial Instruments (Tables)
9 Months Ended
Sep. 30, 2020
Derivative Financial Instruments [Abstract]  
Derivative Financial Instruments According to Type of Hedge Designation
Our derivative financial instruments according to the type of hedge in which they are designated follows:

 
September 30, 2020
 
   
Notional
Amount
   
Average
Maturity
(years)
   
Fair
Value
 
   
(Dollars in thousands)
 
                   
Fair value hedge designation - Pay-fixed interest rate swap agreements
 
$
7,117
     
8.6
   
$
(860
)
                         
No hedge designation
                       
Rate-lock mortgage loan commitments
 
$
196,646
     
0.1
   
$
8,356
 
Mandatory commitments to sell mortgage loans
   
232,948
     
0.1
     
(580
)
Pay-fixed interest rate swap agreements - commercial
   
144,787
     
4.7
     
(10,811
)
Pay-variable interest rate swap agreements - commercial
   
144,787
     
4.7
     
10,811
 
Pay-fixed interest rate swap agreements
   
25,000
     
0.8
     
(409
)
Interest rate cap agreements
   
150,000
     
1.8
     
5
 
Purchased options
   
2,908
     
0.8
     
30
 
Written options
   
2,848
     
0.8
     
(30
)
Total
 
$
899,924
     
1.9
   
$
7,372
 

 
December 31, 2019
 
   
Notional
Amount
   
Average
Maturity
(years)
   
Fair
Value
 
   
(Dollars in thousands)
 
Fair value hedge designation - Pay-fixed interest rate swap agreements
 
$
7,117
     
9.4
   
$
(242
)
                         
Cash flow hedge designation
                       
Pay-fixed interest rate swap agreements
 
$
25,000
     
1.6
   
$
(174
)
Interest rate cap agreements
   
150,000
     
2.6
     
214
 
Total
 
$
175,000
     
2.5
   
$
40
 
                         
No hedge designation
                       
Rate-lock mortgage loan commitments
 
$
49,268
     
0.1
   
$
1,412
 
Mandatory commitments to sell mortgage loans
   
95,363
     
0.1
     
(150
)
Pay-fixed interest rate swap agreements - commercial
   
153,946
     
5.5
     
(3,641
)
Pay-variable interest rate swap agreements - commercial
   
153,946
     
5.5
     
3,641
 
Purchased options
   
2,908
     
1.5
     
141
 
Written options
   
2,848
     
1.5
     
(139
)
Total
 
$
458,279
     
3.7
   
$
1,264
 
Fair Value of Derivative Instruments
Fair Values of Derivative Instruments

 
Asset Derivatives
   
Liability Derivatives
 
   
September 30,
2020
   
December 31,
2019
   
September 30,
2020
   
December 31,
2019
 
   
Balance
Sheet
Location
   
Fair
Value
   
Balance
Sheet
Location
   
Fair
Value
   
Balance
Sheet
Location
   
Fair
Value
   
Balance
Sheet
Location
   
Fair
Value
 
   
(In thousands)
 
Derivatives designated as hedging instruments
   
-
           
-
           
-
           
-
       
Pay-fixed interest rate swap agreements
 
Other assets
   
$
-
   
Other assets
   
$
-
   
Other liabilities
   
$
860
   
Other liabilities
   
$
416
 
Interest rate cap agreements
 
Other assets
     
-
   
Other assets
     
214
   
Other liabilities
     
-
   
Other liabilities
     
-
 
             
-
             
214
             
860
             
416
 
                                                                 
Derivatives not designated as hedging instruments
                                                               
Rate-lock mortgage loan commitments
 
Other assets
     
8,356
   
Other assets
     
1,412
   
Other liabilities
     
-
   
Other liabilities
     
-
 
Mandatory commitments to sell mortgage loans
 
Other assets
     
-
   
Other assets
     
-
   
Other liabilities
     
580
   
Other liabilities
     
150
 
Pay-fixed interest rate swap agreements - commercial
 
Other assets
     
-
   
Other assets
     
28
   
Other liabilities
     
10,811
   
Other liabilities
     
3,669
 
Pay-variable interest rate swap agreements - commercial
 
Other assets
     
10,811
   
Other assets
     
3,669
   
Other liabilities
     
-
   
Other liabilities
     
28
 
Pay-fixed interest rate swap agreements
 
Other assets
     
-
   
Other assets
     
-
   
Other liabilities
     
409
   
Other liabilities
     
-
 
Interest rate cap agreements
 
Other assets
     
5
   
Other assets
     
-
   
Other liabilities
     
-
   
Other liabilities
     
-
 
Purchased options
 
Other assets
     
30
   
Other assets
     
141
   
Other liabilities
     
-
   
Other liabilities
     
-
 
Written options
 
Other assets
     
-
   
Other assets
     
-
   
Other liabilities
     
30
   
Other liabilities
     
139
 
             
19,202
             
5,250
             
11,830
             
3,986
 
Total derivatives
         
$
19,202
           
$
5,464
           
$
12,690
           
$
4,402
 
Effect of Derivative Financial Instruments on Consolidated Statement of Operations
The effect of derivative financial instruments on the Condensed Consolidated Statements of Operations follows:

Three Month Periods Ended September 30,
 
   
Loss
Recognized in
Other
Comprehensive
Income
(Effective Portion)
 
Location of
Gain (Loss)
Reclassified
from
Accumulated
Other
Comprehensive
 Income (Loss) into
Income
(Effective
 
Gain (Loss)
Reclassified from
Accumulated Other
Comprehensive
Income (Loss)
into Income
(Effective Portion)
 
Location of
Gain (Loss)
Recognized
 
Gain (Loss)
Recognized
in Income
 
   
2020
   
2019
 
Portion)
 
2020
   
2019
 
 in Income
 
2020
   
2019
 
   
(In thousands)
 
Fair Value Hedges
                                       
Pay-fixed interest rate swap agreements
                         
Non-interest income-other
 
$
6
   
$
(188
)
Cash Flow Hedges
                                           
Interest rate cap agreements
 
$
-
   
$
(37
)
Interest expense
 
$
(180
)
 
$
88
                   
Pay-fixed interest rate swap agreements
   
(26
)
   
(35
)
Interest expense
   
(130
)
   
14
                   
Total
 
$
(26
)
 
$
(72
)
   
$
(310
)
 
$
102
                   
                                                     
No hedge designation
                                                   
Rate-lock mortgage loan commitments
                                 
Net gains on mortgage loans
 
$
1,096
   
$
(96
)
Mandatory commitments to sell mortgage loans
                                 
Net gains on mortgage loans
   
52
     
307
 
Pay-fixed interest rate swap agreements -  commercial
                                 
Interest income
   
688
     
(1,670
)
Pay-variable interest rate swap agreements - commercial
                                 
Interest income
   
(688
)
   
1,670
 
Pay-fixed interest rate swap agreements
                                 
Interest expense
   
117
     
-
 
Interest rate cap agreements
                                 
Interest expense
   
(14
)
   
-
 
Purchased options
                                 
Interest expense
   
(10
)
   
(46
)
Written options
                                 
Interest expense
   
10
     
46
 
Total
                                          
$
1,251
   
$
211
 


Nine Month Periods Ended September 30,
 
 
 
Gain (Loss)
Recognized in
Other
Comprehensive
Income
(Effective Portion)
 
 Location of
 Gain (Loss)
 Reclassified
 from
 Accumulated
 Other
 Comprehensive
Income (Loss)
 into
 Income
 (Effective
 
Gain (Loss)
Reclassified from
Accumulated Other
Comprehensive
Income (Loss)
into Income
(Effective Portion)
 
 Location of
 Gain (Loss)
 Recognized
 
Gain (Loss)
Recognized
in Income
 
 
 
2020
   
2019
 
 Portion)
 
2020
   
2019
 
 in Income
 
2020
   
2019
 
 
 
(In thousands)
 
Fair Value Hedges
           
 
           
 
           
Pay-fixed interest rate swap agreements
           
 
           
Non-interest income-other
 
$
(618
)
 
$
(391
)
Cash Flow Hedges
Interest rate cap agreements
 
$
126
   
$
(1,311
)
Interest expense
 
$
(413
)
 
$
321
                   
Pay-fixed interest rate swap agreements
   
(480
)
   
(429
)
Interest expense
   
(233
)
   
72
                   
Total
 
$
(354
)
 
$
(1,740
)
 
 
$
(646
)
 
$
393
 
 
               
 
               
 
               
 
               
No hedge designation
               
 
               
 
               
Rate-lock mortgage loan commitments
               
 
               
Net gains on mortgage loans
 
$
6,944
   
$
1,364
 
Mandatory commitments to sell mortgage loans
               
 
               
Net gains on mortgage loans
   
(430
)
   
356
 
Pay-fixed interest rate swap agreements - commercial
               
 
               
Interest income
   
(7,170
)
   
(5,254
)
Pay-variable interest rate swap agreements - commercial
               
 
               
Interest income
   
7,170
     
5,254
 
Pay-fixed interest rate swap agreements
                                 
Interest expense
   
117
     
-
 
Interest rate cap agreements
                                 
Interest expense
   
(56
)
   
-
 
Purchased options
               
 
               
Interest expense
   
(111
)
   
9
 
Written options
               
 
               
Interest expense
   
109
     
(8
)
Total
               
 
               
           
 
$
6,573
   
$
1,721