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Derivatives, Hedging Activities and Financial Instruments with Off-Balance Sheet Risk (Tables)
9 Months Ended
Sep. 30, 2025
Derivatives, Hedging Activities and Financial Instruments with Off-Balance Sheet Risk  
Schedule of fair value of derivative financial instruments as well as their classification on the Balance Sheet

September 30, 2025

No. of Trans.

Notional Amount $

Balance Sheet Location

Fair Value $

Balance Sheet Location

Fair Value $

Derivatives designated as hedging instruments

Interest rate swap agreements

1

25,774

Other Assets

2,880

Other Liabilities

-

Total derivatives designated as hedging instruments

2,880

-

Derivatives not designated as hedging instruments

Interest rate swaps with commercial loan customers and rate cap

13

126,623

Other Assets

1,369

Other Liabilities

1,369

Interest rate lock commitments and forward contracts

60

20,547

Other Assets

69

Other Liabilities

-

Other contracts

6

69,397

Other Assets

32

Other Liabilities

19

Total derivatives not designated as hedging instruments

1,470

1,388

December 31, 2024

No. of Trans.

Notional Amount $

Balance Sheet Location

Fair Value $

Balance Sheet Location

Fair Value $

Derivatives designated as hedging instruments

Interest rate swap agreements

5

325,774

Other Assets

3,823

Other Liabilities

1,512

Total derivatives designated as hedging instruments

3,823

1,512

Derivatives not designated as hedging instruments

Interest rate swaps with commercial loan customers

13

154,137

Other Assets

1,675

Other Liabilities

1,675

Interest rate lock commitments and forward contracts

30

8,667

Other Assets

55

Other Liabilities

-

Other contracts

5

58,259

Other Assets

28

Other Liabilities

5

Total derivatives not designated as hedging instruments

1,758

1,680

Schedule of financial instrument commitments

September 30, 2025

December 31, 2024

    

Fixed

    

Variable

    

Total

    

Fixed

    

Variable

    

Total

  

Letters of credit:

Borrower:

Financial standby

$

202

$

26,293

$

26,495

$

188

$

16,322

$

16,510

Performance standby

547

7,418

7,965

552

10,207

10,759

749

33,711

34,460

740

26,529

27,269

Non-borrower:

Performance standby

-

-

-

-

67

67

Total letters of credit

$

749

$

33,711

$

34,460

$

740

$

26,596

$

27,336

Unused loan commitments:

$

170,894

$

637,775

$

808,669

$

163,282

$

616,533

$

779,815