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Derivatives (Tables)
12 Months Ended
Dec. 31, 2023
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Summary Information Regarding Derivatives
The following tables present summary information regarding these derivatives for the periods presented (dollars in thousands).
December 31, 2023Notional  AmountAverage
Maturity (Years)
Weighted  Average
Rate Fixed
Weighted Average
Variable Rate
Fair Value
Classified in Other Assets:
Third party interest rate swaps$946,843 6.63.79 %
1 Mo. SOFR + 1.98
$81,309 
Customer interest rate swaps266,607 5.26.26 %
1 Mo. SOFR + 2.07
6,257 
Classified in Other Liabilities:
Customer interest rate swaps$946,843 6.63.79 %
1 Mo. SOFR + 1.98
$(81,313)
Third party interest rate swaps266,607 5.26.26 %
1 Mo. SOFR + 2.07
(6,257)
December 31, 2022Notional  AmountAverage
Maturity (Years)
Weighted  Average
Rate Fixed
Weighted Average
Variable Rate
Fair Value
Classified in Other Assets:
  Third Party interest rate swaps$918,758 7.53.70 %
1 Mo. SOFR + 2.00
$94,800 
  Third party interest rate swaps$48,497 1.53.40 %
1 Mo. LIBOR + 2.52
$1,841 
  Customer interest rate swaps51,864 8.55.60 %
1 Mo. SOFR + 1.95
1,207 
Classified in Other Liabilities:
  Customer interest rate swaps $918,758 7.53.70 %
1 Mo. SOFR + 2.00
$(94,800)
  Customer interest rate swaps$48,497 1.53.40 %
1 Mo. LIBOR + 2.52
(1,841)
  Third party interest rate swaps51,864 8.55.60 %
1 Mo. SOFR + 1.95
(1,207)