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Fair Value Measurements - Reconciliation of activity for assets and liabilities measured at fair value (Details) - USD ($)
$ in Thousands
9 Months Ended
Sep. 30, 2022
Sep. 30, 2021
Assets:    
Beginning balance $ 12,636 $ 6,713
Unrealized loss included in earnings (377) (4,577)
Reclassified to investment securities held-to-maturity (12,000)  
Reclass Level 2 to Level 3   12,000
Principal redemption   (1,500)
Ending balance 259  
Liabilities:    
Beginning balance 0  
Unrealized loss included in earnings 115  
Ending balance 115  
Available-for-sale Securities    
Assets:    
Beginning balance 12,000 1,500
Unrealized loss included in earnings 0 0
Reclassified to investment securities held-to-maturity (12,000)  
Reclass Level 2 to Level 3   12,000
Principal redemption   (1,500)
Ending balance 0  
Mortgage Banking Derivatives    
Assets:    
Beginning balance 636 5,213
Unrealized loss included in earnings (377) (4,577)
Reclassified to investment securities held-to-maturity 0  
Reclass Level 2 to Level 3   0
Principal redemption   $ 0
Ending balance 259  
Liabilities:    
Beginning balance 0  
Unrealized loss included in earnings 115  
Ending balance $ 115