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ACCUMULATED OTHER COMPREHENSIVE INCOME (LOSS)
3 Months Ended
Mar. 31, 2024
ACCUMULATED OTHER COMPREHENSIVE INCOME (LOSS)  
ACCUMULATED OTHER COMPREHENSIVE INCOME (LOSS)

NOTE 10 — ACCUMULATED OTHER COMPREHENSIVE INCOME (LOSS)

The following table summarizes the changes in Accumulated Other Comprehensive Income (Loss) balances, net of tax effects at the dates indicated (in thousands):

Total

Accumulated

Other

AFS

Cash Flow

Comprehensive

Securities

Hedge

Income (Loss)

Balance at January 1, 2024

$

(54,684)

$

1,748

$

(52,936)

Unrealized gain (loss) arising during the period, net of tax

(2,567)

4,280

1,713

Reclassification adjustment for gain included in net income, net of tax

(867)

(867)

Other comprehensive income (loss), net of tax

(2,567)

3,413

846

Balance at March 31, 2024

$

(57,251)

$

5,161

$

(52,090)

Balance at January 1, 2023

$

(61,833)

$

7,535

$

(54,298)

Unrealized gain (loss) arising during the period, net of tax

5,719

(695)

5,024

Reclassification adjustment for gain included in net income, net of tax

(858)

(858)

Other comprehensive income (loss), net of tax

5,719

(1,553)

4,166

Balance at March 31, 2023

$

(56,114)

$

5,982

$

(50,132)

The following table presents the tax effects allocated to each component of Accumulated Other Comprehensive Income (Loss) at the dates indicated (in thousands):

Gross

Tax

Amount

Component

Total

At March 31, 2024

Unrealized gain (loss) on AFS Securities

$

(82,271)

$

25,020

$

(57,251)

Unrealized gain (loss) on Cash Flow Hedges

7,409

(2,248)

5,161

Total ending other comprehensive income (loss)

$

(74,862)

$

22,772

$

(52,090)

At December 31, 2023

Unrealized gain (loss) on AFS Securities

$

(77,783)

$

23,098

$

(54,685)

Unrealized gain (loss) on Cash Flow Hedges

2,574

(825)

1,749

Total ending other comprehensive income (loss)

$

(75,209)

$

22,273

$

(52,936)

The following table shows the amounts reclassified out of AOCI for the sale and/or calls of AFS securities and realized gain on cash flow hedges (in thousands):

Affected line item in

Three months ended

the Consolidated Statements

March 31, 

of Operations

2024

2023

Realized gain (loss) on cash flow hedges

$

1,251

$

1,235

Licensing fees

Income tax (expense) benefit

(384)

(377)

Income tax expense

Total reclassifications, net of income tax

$

867

$

858