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Federal funds purchased and securities sold under agreements to repurchase (Tables)
12 Months Ended
Dec. 31, 2021
Federal Funds Purchased and Securities Sold under Agreements to Repurchase [Abstract]  
Schedule of federal funds purchased and securities sold under agreements to repurchase
Information relating to federal funds purchased and repurchase agreements is as follows:
(in thousands)Year End
Weighted
Rate
Average
Weighted
Rate
Average
Balance
Outstanding
Maximum
Outstanding at
any Month End
Balance at
December 31,
2021
Federal funds purchased0.43 %0.34 %$$— $— 
Short-term repurchase agreements - Bank0.27 0.25 34,448 55,942 23,829 
Total$34,449 $55,942 $23,829 
2020
Federal funds purchased0.36 %0.26 %$— $— $— 
Short-term repurchase agreements - Bank0.24 0.43 34,026 45,154 45,154 
Total$34,026 $45,154 $45,154 
Schedule of repurchase agreements by remaining maturity of the agreements The collateral amounts pledged to repurchase agreements by
remaining maturity in the table below are limited to the outstanding balances of the related asset or liability; thus amounts of excess collateral are not shown.
Repurchase AgreementsRemaining Contractual Maturity of the Agreements
(in thousands)Overnight
and
continuous
Less
than
90 days
Greater
than
90 days
Total
At December 31, 2021
U.S. government-sponsored enterprises$9,113 $— $— $9,113 
Mortgage-backed securities14,716 — — 14,716 
Total$23,829 $— $— $23,829 
At December 31, 2020
U.S. government and federal agency obligations$2,728 $— $— $2,728 
U.S. government-sponsored enterprises15,533 — — 15,533 
Mortgage-backed securities26,893 — — 26,893 
Total$45,154 $— $— $45,154