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Consolidated Statements of Comprehensive Income - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2023
Jun. 30, 2022
Jun. 30, 2023
Jun. 30, 2022
Statement of Comprehensive Income        
Net income, before tax amount $ 13,109 $ 12,608 $ 26,901 $ 24,519
Income tax expense (benefit) 3,409 3,157 6,914 5,960
Net income 9,700 9,451 19,987 18,559
Debt securities available for sale:        
Unrealized holding losses on securities arising during the period, before tax (683) (4,010) (324) (5,637)
Unrealized holding losses on securities arising during the period, tax (166) (956) (74) (1,331)
Unrealized holding losses on securities arising during the period, net (517) (3,054) (250) (4,306)
Less: reclassification adjustment for losses on securities included in net income, before tax   (498)   (1,055)
Less: reclassification adjustment for losses on securities included in net income, tax   (104)   (222)
Less: reclassification adjustment for losses on securities included in net income, net of tax   (394)   (833)
Total unrealized losses on securities available for sale, before tax (683) (3,512) (324) (4,582)
Total unrealized losses on securities available for sale, tax (166) (852) (74) (1,109)
Total unrealized losses on securities available for sale, net of tax (517) (2,660) (250) (3,473)
Net unrealized gains (losses) from cash flow hedges:        
Unrealized holding gains (losses) on cash flow hedges arising during the period, before tax 319 (795) (552) 738
Unrealized holding gains (losses) on cash flow hedges arising during the period, tax 90 (225) (140) 209
Unrealized holding gains (losses) on cash flow hedges arising during the period, net of tax 229 (570) (412) 529
Less: reclassification adjustment for gains on cash flow hedges included in net income, before tax 219   418  
Less: reclassification adjustment for gains on cash flow hedges included in net income, tax 63   119  
Less: reclassification adjustment for gains on cash flow hedges included in net income, net of tax 156   299  
Total unrealized gains (losses) on cash flow hedges, before tax 100 (795) (134) 738
Total unrealized gains (losses) on cash flow hedges, tax 27 (225) (21) 209
Total unrealized gains (losses) on cash flow hedges, net of tax 73 (570) (113) 529
Total other comprehensive loss, before tax (583) (4,307) (458) (3,844)
Total other comprehensive loss, tax (139) (1,077) (95) (900)
Total other comprehensive loss, net of tax (444) (3,230) (363) (2,944)
Total comprehensive income, before tax 12,526 8,301 26,443 20,675
Total comprehensive income, tax 3,270 2,080 6,819 5,060
Total comprehensive income, net of tax $ 9,256 $ 6,221 $ 19,624 $ 15,615