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Schedule of Compliance with Regulatory Capital Requirements for Mortgage Companies (Details)
$ in Thousands
Dec. 31, 2021
USD ($)
Dec. 31, 2020
USD ($)
Leverage - For capital adequacy purposes Ratio 4.00%  
Common Equity Tier 1 Capital - For capital adequacy purposes Ratio 4.50%  
Companys Regulatory Capital Requirements [Member]    
Leverage - Actual Amount $ 135,824 $ 121,068
Leverage - Actual Ratio 10.83 10.70
Leverage - For capital adequacy purposes Amount $ 50,181 $ 45,262
Leverage - For capital adequacy purposes Ratio [1] 4.00% 4.00%
Common Equity Tier 1 Capital - Actual Amount $ 114,824 $ 100,068
Common Equity Tier 1 Capital - Actual Ratio 15.00% 13.77%
Common Equity Tier 1 Capital - For capital adequacy purposes Amount $ 53,592 $ 50,866
Common Equity Tier 1 Capital - For capital adequacy purposes Ratio [1] 7.00% 7.00%
Tier 1 Capital - Actual Amount $ 135,824 $ 121,068
Tier 1 Capital - Actual Ratio 17.74 16.66
Tier 1 Capital - For capital adequacy purposes Amount $ 65,077 $ 61,766
Tier 1 Capital - For capital adequacy purposes Ratio [1] 8.5 8.5
Total Risk Based Capital - Actual Amount $ 144,739 $ 129,983
Total Risk Based Capital - Actual Ratio 18.91 17.89
Total Risk Based Capital - For capital adequacy purposes Amount $ 80,389 $ 76,300
Total Risk Based Capital - For capital adequacy purposes Ratio [1] 10.5 10.5
[1] The required percent for capital adequacy purposes includes a capital conservation buffer of 2.5%.