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Regulatory Capital Requirements - Schedule of Compliance with Regulatory Capital Requirements for Mortgage Companies (Details) - USD ($)
$ in Thousands
Dec. 31, 2019
Dec. 31, 2018
Leverage - For capital adequacy purposes Ratio 4.00%  
Common Equity Tier 1 Capital - For capital adequacy purposes Ratio 4.50%  
Tier 1 Capital - For capital adequacy purposes Ratio 6.00%  
Total Risk Based Capital - For capital adequacy purposes Ratio 8.00%  
Company's Regulatory Capital Requirements [Member]    
Leverage - Actual Amount $ 106,938 $ 99,150
Common Equity Tier 1 Capital - Actual Amount 85,938 78,150
Tier 1 Capital - Actual Amount 106,938 99,150
Total Risk Based Capital - Actual Amount $ 113,545 $ 105,055
Leverage - Actual Ratio 10.94% 10.34%
Common Equity Tier 1 Capital - Actual Ratio 13.09% 13.12%
Tier 1 Capital - Actual Ratio 16.29% 16.64%
Total Risk Based Capital - Actual Ratio 17.30% 17.63%
Leverage - For capital adequacy purposes Amount $ 39,109 $ 38,373
Common Equity Tier 1 Capital - For capital adequacy purposes Amount 45,952 37,982
Tier 1 Capital - For capital adequacy purposes Amount 55,799 46,919
Total Risk Based Capital - For capital adequacy purposes Amount $ 68,928 $ 58,835
Leverage - For capital adequacy purposes Ratio [1] 4.00% 4.00%
Common Equity Tier 1 Capital - For capital adequacy purposes Ratio [1] 7.00% 6.40%
Tier 1 Capital - For capital adequacy purposes Ratio [1] 8.50% 7.90%
Total Risk Based Capital - For capital adequacy purposes Ratio [1] 10.50% 9.90%
[1] The required percent for capital adequacy purposes includes a capital conservation buffer of 2.5% for December 31, 2019 and 1.875% for December 31, 2018.