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Securities Sold Under Repurchase Agreements (Details) - USD ($)
12 Months Ended
Dec. 31, 2020
Dec. 31, 2019
Collateral Securities and Repurchase Borrowing agreements    
Average outstanding amount $ 335,392,000 $ 267,439,000
Maximum amount outstanding at any month end 428,148,000 299,827,000
Collateralized Securities, Book Value of Securities Sold 517,704,000 328,671,000
Collateralized securities, Fair Value of Securities Sold 518,805,000 329,926,000
Repurchase Borrowing, Balance of Liability $ 428,148,000 $ 236,536,000
Repurchase Borrowing, Weighted Average Interest Rate (as a percent) 0.14% 0.89%
Maturity Overnight [Member]    
Collateral Securities and Repurchase Borrowing agreements    
Collateralized Securities, Book Value of Securities Sold $ 506,020,000 $ 317,107,000
Collateralized securities, Fair Value of Securities Sold 507,164,000 318,397,000
Repurchase Borrowing, Balance of Liability $ 416,757,000 $ 225,243,000
Repurchase Borrowing, Weighted Average Interest Rate (as a percent) 0.13% 0.87%
Maturity over 90 days [Member]    
Collateral Securities and Repurchase Borrowing agreements    
Collateralized Securities, Book Value of Securities Sold $ 11,684,000 $ 11,564,000
Collateralized securities, Fair Value of Securities Sold 11,641,000 11,529,000
Repurchase Borrowing, Balance of Liability $ 11,391,000 $ 11,293,000
Repurchase Borrowing, Weighted Average Interest Rate (as a percent) 0.43% 1.28%