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Note 18 - Derivatives (Tables)
12 Months Ended
Dec. 31, 2024
Notes Tables  
Schedule of Fair Value Hedging Instruments, Statements of Financial Performance and Financial Position, Location [Table Text Block]
    

Cumulative Amount of Fair Value 

    

Hedging Adjustment Included in    

Line item in the Consolidated Balance Sheets

 

Carrying Amount of the

 

the Carrying Amount of the  

in which the hedged item is included

 

Hedged Assets

 

Hedged Assets 

December 31, 2024

      

Investment securities (1)

 

$

55,701

 

$

4,299

Total

 

$

55,701

 

$

4,299

       

December 31, 2023

      

Investment securities (1)

 

$

56,785

 

$

3,215

Total

 

$

56,785

 

$

3,215

Schedule of Derivative Instruments in Statement of Financial Position, Fair Value [Table Text Block]
  

December 31, 2024

 
      

Fair Value

 

Cash flow and fair value hedges:

 

Notional

  

Asset

  

Liability

 

Interest rate swaps

 $340,000  $7,244  $ 

Non-hedging derivatives:

            

Fallout adjusted interest rate lock commitments with customers

  16,905   103    

Mandatory and best effort forward commitments with investors

  6,829   31    

Forward TBA mortgage-backed securities

  31,000   180    

Interest rate swaps - customer swap positions

  716      61 

Interest rate swaps - dealer offsets to customer swap positions

  716   62    
  

December 31, 2023

 
      

Fair Value

 

Cash flow and fair value hedges:

 

Notional

  

Asset

  

Liability

 

Interest rate swaps

 $310,000  $6,431  $375 

Non-hedging derivatives:

            

Fallout adjusted interest rate lock commitments with customers

  22,334   329    

Mandatory and best effort forward commitments with investors

  10,070      188 

Forward TBA mortgage-backed securities

  33,000      284 

Interest rate swaps - customer swap positions

  801      63 

Interest rate swaps - dealer offsets to customer swap positions

  801   64    
Derivative Instruments, Gain (Loss) [Table Text Block]
  

Year Ended December 31,

 
  

2024

  

2023

  

2022

 
  

Interest

     

Interest

     

Interest

    
  

Expense

  

Interest

  

Expense

  

Interest

  

Expense

  

Interest

 
  

Deposits and

  

Income

  

Deposits and

  

Income

  

Deposits and

  

Income

 
  Borrowings  Securities  Borrowings  Securities  Borrowings  Securities 

Total amounts presented on the Consolidated Statements of Income

 $59,790  $13,980  $36,751  $12,247  $9,420  $7,046 

Net gains (losses) on fair value hedging relationships:

                        

Interest rate swaps - securities

                        

Recognized on hedged items

 $  $(1,084) $  $892  $  $(4,107)

Recognized on derivatives designated as hedging instruments

     1,084      (892)     4,103 

Net interest income recognized on cash flows of derivatives designated as hedging instruments

     1,597      1,509       

Net income (expense) recognized on fair value hedges

 $  $1,597  $  $1,509  $  $(4)

Net gain on cash flow hedging relationships:

                        

Interest rate swaps - brokered deposits and borrowings

                        

Realized gains (pre-tax) reclassified from accumulated other comprehensive loss into net income

 $4,951  $  $5,465  $  $970  $ 

Net income recognized on cash flow hedges

 $4,951  $  $5,465  $  $970  $ 
Offsetting Assets [Table Text Block]
      

Gross Amounts

  

Net Amounts of Assets

  

Gross Amounts Not Offset

 
  

Gross Amounts

  

Offset in the

  

Presented in the

  

in the Consolidated Balance Sheets

 
  

of Recognized

  

Consolidated

  

Consolidated

  

Financial

  

Cash Collateral

     

Offsetting of derivative assets

 

Assets

  

Balance Sheets

  

Balance Sheets

  

Instruments

  

Received

  

Net Amount

 

At December 31, 2024

                        

Interest rate swaps

 $7,844  $538  $7,306  $  $740  $6,566 
                         

At December 31, 2023

                        

Interest rate swaps

 $6,648  $153  $6,495  $  $  $6,495 
Offsetting Liabilities [Table Text Block]
      

Gross Amounts

  

Net Amounts of

  

Gross Amounts Not Offset

 
  

Gross Amounts

  

Offset in the

  

Liabilities Presented in

  

in the Consolidated Balance Sheets

 
  

of Recognized

  

Consolidated

  

the Consolidated

  

Financial

  

Cash Collateral

     

Offsetting of derivative liabilities

 

Liabilities

  

Balance Sheets

  

Balance Sheets

  

Instruments

  

Posted

  

Net Amount

 

At December 31, 2024

                        

Interest rate swaps

 $  $  $  $  $  $ 
                         

At December 31, 2023

                        

Interest rate swaps

 $(722) $(347) $(375) $  $270  $(105)