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Derivative Financial Instruments (Tables)
3 Months Ended
Mar. 31, 2024
Derivative Financial Instruments  
Summary of notional amount and fair value of derivative assets and liabilities

Notional

Fair Value

Amount

 

Balance Sheet Location

 

Asset

 

Liability

March 31, 2024

(In thousands)

(In thousands)

Interest rate lock commitments

$

31,888

Other assets/liabilities

$

174

$

22

Forward contracts

33,375

Other assets/liabilities

9

110

Interest rate swaps

57,531

Other assets/liabilities

3,985

Put options

734,130

Other assets

33,490

Interest rate floors

1,229,918

Other assets

 

8,910

Credit derivatives

76,092

Other liabilities

$

46,568

$

132

Notional

Fair Value

Amount

 

Balance Sheet Location

 

Asset

 

Liability

December 31, 2023

(In thousands)

(In thousands)

Interest rate lock commitments

$

16,526

Other assets/liabilities

$

140

$

4

Forward contracts

25,500

Other assets/liabilities

4

391

Interest rate swaps

57,540

Other assets/liabilities

2,610

Put options

748,374

Other assets

25,877

Interest rate floors

748,374

Other assets

6,576

$

35,207

$

395

Summarizes the periodic changes in the fair value of the derivative financial instruments on the consolidated statements of income

Three Months Ended

March 31, 

    

2024

    

2023

(In thousands)

Derivative gain (loss) included in gain on sale of loans:

Interest rate lock commitments

$

16

$

209

Forward contracts (includes pair-off settlements)

94

(96)

Interest rates swaps

1,375

(1,336)

Net gain (loss)

$

1,485

$

(1,223)

Derivative gain (loss) included in other income:

Put options

7,613

Interest rate floors

2,334

Net gain (loss)

$

9,947

$

Interest rate swaps  
Derivative Financial Instruments  
Summary of notional amount and fair value of derivative assets and liabilities

Notional

Fair Value

Amount

 

Balance Sheet Location

 

Asset

 

Liability

(In thousands)

(In thousands)

March 31, 2024

$

657,572

Other assets/liabilities

$

15,259

$

15,259

December 31, 2023

$

607,169

Other assets/liabilities

$

12,426

$

12,426

Summarizes the periodic changes in the fair value of the derivative financial instruments on the consolidated statements of income

Three Months Ended

March 31, 

    

2024

    

2023

(In thousands)

Gross swap gains

$

2,833

$

580

Gross swap losses

2,833

580

Net swap gains (losses)

$

$