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Derivatives (Tables)
12 Months Ended
Dec. 31, 2022
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Derivative Assets at Fair Value
The following table presents the U.S. dollar notional amounts and fair values of our derivative instruments included in the consolidated balance sheets as of the dates indicated:
December 31, 2022December 31, 2021
NotionalFairNotionalFair
Derivatives Not Designated As Hedging InstrumentsAmountValueAmountValue
(In thousands)
Derivative Assets:
Interest rate contracts$108,451 $6,013 $87,470 $992 
Foreign exchange contracts37,029 1,801 28,463 1,517 
Interest rate and economic contracts145,480 7,814 115,933 2,509 
Equity warrant assets18,209 4,048 18,539 3,555 
Total$163,689 $11,862 $134,472 $6,064 
Derivative Liabilities:
Interest rate contracts$108,451 $5,825 $87,470 $931 
Foreign exchange contracts37,029 81 28,463 — 
Total$145,480 $5,906 $115,933 $931 
Schedule of Derivative Liabilities at Fair Value
The following table presents the U.S. dollar notional amounts and fair values of our derivative instruments included in the consolidated balance sheets as of the dates indicated:
December 31, 2022December 31, 2021
NotionalFairNotionalFair
Derivatives Not Designated As Hedging InstrumentsAmountValueAmountValue
(In thousands)
Derivative Assets:
Interest rate contracts$108,451 $6,013 $87,470 $992 
Foreign exchange contracts37,029 1,801 28,463 1,517 
Interest rate and economic contracts145,480 7,814 115,933 2,509 
Equity warrant assets18,209 4,048 18,539 3,555 
Total$163,689 $11,862 $134,472 $6,064 
Derivative Liabilities:
Interest rate contracts$108,451 $5,825 $87,470 $931 
Foreign exchange contracts37,029 81 28,463 — 
Total$145,480 $5,906 $115,933 $931