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Parent Company Only Condensed Financial Information (Condensed Statements Of Cash Flows) (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Cash flows from operating activities      
Net income $ 16,937 $ 18,164 $ 18,453
Amortization, net (1,024) (881) (2,505)
Net cash from operating activities 18,051 39,764 253,303
Cash flows used by investing activities:      
Dividends paid to the Holdings Company 659 582 756
Net cash used by investing activities (121,853) (353,321) (316,730)
Cash flows from financing activities:      
Proceeds from exercise of stock options 84 387 185
Acquisition of treasury shares surrendered upon vesting of restricted stock and exercised options for payment of taxes and exercise proceeds (122) (173) (139)
Purchase of treasury shares (177) (2,339) (2,972)
Dividends paid (1,476) (1,153) (848)
Net cash from financing activities 213,610 298,753 8,424
Net change in cash and cash equivalents 109,808 (14,804) (55,003)
Beginning cash and cash equivalents 151,787 166,591 221,594
Ending cash and cash equivalents 261,595 151,787 166,591
Parent Company [Member]      
Cash flows from operating activities      
Net income 16,937 18,164 18,453
Effect of subsidiaries' operations (12,992) (9,704) (19,780)
Amortization, net 39 39 39
Change in other assets and other liabilities (284) 263 (681)
Net cash from operating activities 3,700 8,762 (1,969)
Cash flows used by investing activities:      
Investments in banking subsidiary (6,000) (11,000) (10,000)
Net cash used by investing activities (6,000) (11,000) (10,000)
Cash flows from financing activities:      
Proceeds from other borrowings 10,034 15,184 19,277
Repayments of other borrowings (6,000) (10,000) (4,500)
Proceeds from exercise of stock options 84 387 185
Acquisition of treasury shares surrendered upon vesting of restricted stock and exercised options for payment of taxes and exercise proceeds (122) (173) (139)
Purchase of treasury shares (177) (2,339) (2,972)
Dividends paid (1,476) (1,153) (848)
Net cash from financing activities 2,343 1,906 11,003
Net change in cash and cash equivalents 43 (332) (966)
Beginning cash and cash equivalents 487 819 1,785
Ending cash and cash equivalents $ 530 $ 487 $ 819