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DERIVATIVE FINANCIAL INSTRUMENTS - Interest rate contracts not designated as hedging instruments (Details) - Not designated - Interest rate swap - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Sep. 30, 2020
Sep. 30, 2019
Sep. 30, 2020
Sep. 30, 2019
Dec. 31, 2019
DERIVATIVE FINANCIAL INSTRUMENTS          
Gross gains $ 2,188 $ 4,151 $ 17,369 $ 10,196  
Gross losses (2,188) $ (4,151) (17,369) (10,159)  
Net gains (losses)       $ 37  
Other assets          
DERIVATIVE FINANCIAL INSTRUMENTS          
Derivative asset notional amount 140,820   140,820   $ 138,356
Derivative financial assets fair value 21,568   21,568   8,642
Other assets | Commercial Borrower          
DERIVATIVE FINANCIAL INSTRUMENTS          
Derivative asset notional amount 140,820   140,820   114,140
Derivative financial assets fair value 21,568   21,568   8,532
Other assets | Financial Institutions Borrower          
DERIVATIVE FINANCIAL INSTRUMENTS          
Derivative asset notional amount         24,216
Derivative financial assets fair value         110
Other liabilities          
DERIVATIVE FINANCIAL INSTRUMENTS          
Derivative liability notional amount 140,820   140,820   138,356
Derivative financial liabilities fair value (21,568)   (21,568)   (8,642)
Other liabilities | Commercial Borrower          
DERIVATIVE FINANCIAL INSTRUMENTS          
Derivative liability notional amount         24,216
Derivative financial liabilities fair value         (110)
Other liabilities | Financial Institutions Borrower          
DERIVATIVE FINANCIAL INSTRUMENTS          
Derivative liability notional amount 140,820   140,820   114,140
Derivative financial liabilities fair value $ (21,568)   $ (21,568)   $ (8,532)