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DERIVATIVE INSTRUMENTS (Tables)
12 Months Ended
Dec. 31, 2022
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Amount and Market Value of Mortgage Banking Derivatives The following table presents the notional amount and fair value of our derivative instruments included in the consolidated statements of financial condition as of the dates indicated. Note 3 — Fair Values of Financial Instruments contains further disclosures pertaining to the fair value of derivatives.
December 31,
20222021
($ in thousands)Notional Amount
Fair Value (1)
Notional Amount
Fair Value (1)
Derivative assets:
Interest rate swaps on loans$33,694 $2,134 $58,834 $3,390 
Foreign exchange contracts5,885 158 4,725 175 
Total included in assets$39,579 $2,292 $63,559 $3,565 
Derivative liabilities:
Interest rate swaps on loans$33,694 $2,107 $58,834 $3,594 
Foreign exchange contracts5,885 144 4,725 146 
Total included in liabilities$39,579 $2,251 $63,559 $3,740 
(1)The fair value of interest rate swaps on loans and foreign exchange contracts are included in 'other assets' and 'accrued expenses and other liabilities', respectively, in the accompanying consolidated statements of financial condition.