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Fair Value Measurements - Schedule of Estimated Fair Values of Financial Instruments (Details) - USD ($)
$ in Thousands
Dec. 31, 2024
Dec. 31, 2023
Assets    
Federal funds sold $ 2,581 $ 3,740
Interest bearing deposits with other banks 619,017 709,897
Investment securities available-for-sale 1,267,404 1,506,388
Investment securities held-to-maturity 820,382 901,582
Federal Reserve and Federal Home Loan Bank stock 51,763 25,748
Bank owned life insurance 115,806 112,921
Liabilities    
Interest bearing deposits 1,211,791 997,448
Customer repurchase agreements 33,157 30,587
Carrying Value    
Assets    
Cash and due from banks 11,882 9,047
Federal funds sold 2,581 3,740
Interest bearing deposits with other banks 619,017 709,897
Investment securities available-for-sale 1,267,404 1,506,388
Investment securities held-to-maturity 938,647 1,015,737
Federal Reserve and Federal Home Loan Bank stock 51,763 25,748
Loans 7,934,888 0
Loans   7,968,695
Bank owned life insurance 115,806 112,921
Annuity investment 12,656 13,112
Accrued interest receivable 49,479 53,337
Liabilities    
Noninterest bearing deposits 1,544,403 2,279,081
Interest bearing deposits 4,811,012 4,311,491
Time deposits 2,775,663 2,217,467
Customer repurchase agreements 33,157 30,587
Other short-term borrowings 490,000 1,369,918
Long-term borrowings 76,108 0
Accrued interest payable 17,844 57,395
Carrying Value | Credit risk participation agreements    
Assets    
Interest rate product   3
Carrying Value | Interest rate product    
Assets    
Interest rate product 31,592 30,662
Liabilities    
Interest rate product 29,110 30,555
Fair Value    
Assets    
Cash and due from banks 11,882 9,047
Federal funds sold 2,581 3,740
Interest bearing deposits with other banks 619,017 709,897
Investment securities available-for-sale 1,267,404 1,506,388
Investment securities held-to-maturity 820,382 901,582
Loans 7,707,424 0
Loans   7,720,241
Bank owned life insurance 115,806 112,921
Annuity investment 12,656 13,112
Accrued interest receivable 49,479 53,337
Liabilities    
Noninterest bearing deposits 1,544,403 2,279,081
Interest bearing deposits 4,811,012 4,311,491
Time deposits 2,785,891 2,217,795
Customer repurchase agreements 33,157 30,587
Other short-term borrowings 490,000 1,368,621
Long-term borrowings 82,916 0
Accrued interest payable 17,844 57,395
Fair Value | Credit risk participation agreements    
Assets    
Interest rate product   3
Fair Value | Interest rate product    
Assets    
Interest rate product 31,592 30,662
Liabilities    
Interest rate product 29,110 30,555
Fair Value | Quoted  Prices  (Level 1)    
Assets    
Cash and due from banks 11,882 9,047
Accrued interest receivable   53,337
Liabilities    
Accrued interest payable   57,395
Fair Value | Significant Other Observable Inputs  (Level 2)    
Assets    
Federal funds sold 2,581 3,740
Interest bearing deposits with other banks 619,017 709,897
Investment securities available-for-sale 1,267,404 1,506,388
Investment securities held-to-maturity 820,382 901,582
Bank owned life insurance 115,806 112,921
Annuity investment 12,656 13,112
Accrued interest receivable 49,479  
Liabilities    
Noninterest bearing deposits 1,544,403 2,279,081
Interest bearing deposits 4,811,012 4,311,491
Time deposits 2,785,891 2,217,795
Customer repurchase agreements 33,157 30,587
Other short-term borrowings 490,000 1,368,621
Long-term borrowings 82,916  
Accrued interest payable 17,844  
Fair Value | Significant Other Observable Inputs  (Level 2) | Credit risk participation agreements    
Assets    
Interest rate product   3
Fair Value | Significant Other Observable Inputs  (Level 2) | Interest rate product    
Assets    
Interest rate product 31,592 30,662
Liabilities    
Interest rate product 29,110 30,555
Fair Value | Significant Other  Unobservable Inputs  (Level 3)    
Assets    
Loans $ 7,707,424  
Loans   $ 7,720,241