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Junior Subordinated Debentures Issued to Capital Trusts - Schedule of Outstanding Junior Subordinated Debentures and Related Trust Preferred Securities Issued by Each Trust (Details) - USD ($)
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Financial Instruments Subject to Mandatory Redemption by Settlement Terms [Line Items]    
Carrying value $ 56,413,000 $ 56,065,000
Junior Subordinated Debentures | GCB Capital Trust III    
Financial Instruments Subject to Mandatory Redemption by Settlement Terms [Line Items]    
Carrying value 24,743,000 24,743,000
Contractual principal balance 24,743,000 $ 24,743,000
Junior Subordinated Debentures | GCB Capital Trust III | 3-month LIBOR    
Financial Instruments Subject to Mandatory Redemption by Settlement Terms [Line Items]    
Annual interest rate spread, percentage   1.40%
Junior Subordinated Debentures | State Bancorp Capital Trust I    
Financial Instruments Subject to Mandatory Redemption by Settlement Terms [Line Items]    
Carrying value 9,225,000 $ 9,125,000
Contractual principal balance 10,310,000 $ 10,310,000
Junior Subordinated Debentures | State Bancorp Capital Trust I | 3-month LIBOR    
Financial Instruments Subject to Mandatory Redemption by Settlement Terms [Line Items]    
Annual interest rate spread, percentage   3.45%
Junior Subordinated Debentures | State Bancorp Capital Trust II    
Financial Instruments Subject to Mandatory Redemption by Settlement Terms [Line Items]    
Carrying value 8,730,000 $ 8,599,000
Contractual principal balance 10,310,000 $ 10,310,000
Junior Subordinated Debentures | State Bancorp Capital Trust II | 3-month LIBOR    
Financial Instruments Subject to Mandatory Redemption by Settlement Terms [Line Items]    
Annual interest rate spread, percentage   2.85%
Junior Subordinated Debentures | Aliant Statutory Trust II    
Financial Instruments Subject to Mandatory Redemption by Settlement Terms [Line Items]    
Carrying value 13,715,000 $ 13,598,000
Contractual principal balance 15,464,000 $ 15,464,000
Junior Subordinated Debentures | Aliant Statutory Trust II | 3-month LIBOR    
Financial Instruments Subject to Mandatory Redemption by Settlement Terms [Line Items]    
Annual interest rate spread, percentage   1.80%
Trust preferred securities | GCB Capital Trust III    
Financial Instruments Subject to Mandatory Redemption by Settlement Terms [Line Items]    
Face value $ 24,000,000 $ 24,000,000
Trust preferred securities | GCB Capital Trust III | 3-month LIBOR    
Financial Instruments Subject to Mandatory Redemption by Settlement Terms [Line Items]    
Annual distribution rate 1.40% 1.40%
Trust preferred securities | State Bancorp Capital Trust I    
Financial Instruments Subject to Mandatory Redemption by Settlement Terms [Line Items]    
Face value $ 10,000,000 $ 10,000,000
Trust preferred securities | State Bancorp Capital Trust I | 3-month LIBOR    
Financial Instruments Subject to Mandatory Redemption by Settlement Terms [Line Items]    
Annual distribution rate 3.45% 3.45%
Trust preferred securities | State Bancorp Capital Trust II    
Financial Instruments Subject to Mandatory Redemption by Settlement Terms [Line Items]    
Face value $ 10,000,000 $ 10,000,000
Trust preferred securities | State Bancorp Capital Trust II | 3-month LIBOR    
Financial Instruments Subject to Mandatory Redemption by Settlement Terms [Line Items]    
Annual distribution rate 2.85% 2.85%
Trust preferred securities | Aliant Statutory Trust II    
Financial Instruments Subject to Mandatory Redemption by Settlement Terms [Line Items]    
Face value $ 15,000,000 $ 15,000,000
Trust preferred securities | Aliant Statutory Trust II | 3-month LIBOR    
Financial Instruments Subject to Mandatory Redemption by Settlement Terms [Line Items]    
Annual distribution rate 1.80% 1.80%