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Note 17 - Stockholders' Equity (Tables)
3 Months Ended
Mar. 31, 2025
Notes Tables  
Schedule of Accumulated Other Comprehensive Income (Loss) [Table Text Block]
  

Three Months Ended March 31, 2025

  

Three Months Ended March 31, 2024

 
  

Pre-tax

  

Tax expense/ (benefit)

  

Net-of-tax

  

Pre-tax

  

Tax expense/ (benefit)

  

Net-of-tax

 
  

(In thousands)

 

Beginning balance, (loss)/gain, net of tax

                        

Securities AFS

         $(85,607)         $(86,190)

Cash flow hedge derivatives

                     774 

Total

         $(85,607)         $(85,416)
                         

Net unrealized gains/(losses) arising during the period

                        

Securities AFS

 $19,676  $5,816  $13,860  $(8,010) $(2,368) $(5,642)

Cash flow hedge derivatives

           (626)  (185)  (441)

Total

 $19,676  $5,816  $13,860  $(8,636) $(2,553) $(6,083)
                         

Reclassification adjustment for net losses in net income

                        

Securities AFS

 $  $  $  $(1,107) $(327) $(780)

Cash flow hedge derivatives

                  

Total

           (1,107)  (327)  (780)
                         

Total other comprehensive income/(loss)

                        

Securities AFS

 $19,676  $5,816  $13,860  $(9,117) $(2,695) $(6,422)

Cash flow hedge derivatives

           (626)  (185)  (441)

Total

 $19,676  $5,816  $13,860  $(9,743) $(2,880) $(6,863)
                         

Ending balance, (loss)/gain, net of tax

                        

Securities AFS

         $(71,747)         $(92,612)

Cash flow hedge derivatives

                     333 

Total

         $(71,747)         $(92,279)