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FAIR VALUE MEASUREMENTS - Measured on Non-recurring Basis (Details) - Non-recurring - USD ($)
3 Months Ended 9 Months Ended
Sep. 30, 2022
Sep. 30, 2022
Dec. 31, 2021
Assets      
Liabilities measured at fair value $ 0 $ 0 $ 0
Level 3      
Assets      
Individually evaluated loans 15,388,000 15,388,000 17,932,000
Capitalized servicing rights 7,127,000 7,127,000 5,263,000
Premises held for sale 327,000 327,000 226,000
Total 22,842,000 22,842,000 23,421,000
Total Gains (Losses) 1,862,000 (579,000)  
Level 3 | Impaired loans      
Assets      
Total Gains (Losses) 1,778,000 (2,544,000)  
Level 3 | Capitalized servicing rights      
Assets      
Total Gains (Losses) 84,000 1,864,000  
Level 3 | Assets held for sale      
Assets      
Premises held for sale 327,000 327,000 $ 226,000
Total Gains (Losses) $ 0 $ 101,000