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Schedule of Compliance with Regulatory Capital Requirements for Mortgage Companies (Details)
$ in Thousands
Jun. 30, 2023
USD ($)
Dec. 31, 2022
USD ($)
Actual Ratio, Leverage 0.040  
For capital adequacy purposes Ratio, Tier 1 Capital 0.045  
Companys Regulatory Capital Requirements [Member]    
Actual Amount, Leverage $ 126,939 $ 122,275
Actual Ratio, Leverage 0.0839 0.0814
For capital adequacy purposes Amount, Leverage $ 60,513 $ 60,100
For capital adequacy purposes Ratio, Leverage [1] 4.00% 4.00%
Actual Amount, Common Equity Tier 1 Capital $ 105,939 $ 101,275
Actual Ratio, Common Equity Tier 1 Capital 10.42% 10.37%
For capital adequacy purposes Amount, Common Equity Tier 1 Capital $ 71,149 $ 68,352
For capital adequacy purposes Ratio, Common Equity Tier 1 Capital [1] 7.00% 7.00%
Actual Amount, Tier 1 Capital $ 126,939 $ 122,275
Actual Ratio, Tier 1 Capital 0.1249 0.1252
For capital adequacy purposes Amount, Tier 1 Capital $ 86,396 $ 82,999
For capital adequacy purposes Ratio, Tier 1 Capital [1] 0.085 0.085
Actual Amount, Total Risk Based Capital $ 136,776 $ 131,236
Actual Ratio, Total Risk Based Capital 0.1346 0.1344
For capital adequacy purposes Amount, Total Risk Based Capital $ 106,724 $ 102,528
For capital adequacy purposes Ratio, Total Risk Based Capital [1] 0.105 0.105
[1] The required ratios for capital adequacy purposes include a capital conservation buffer of 2.5%.