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Long-Term Borrowings - Narrative (Details)
$ in Thousands
12 Months Ended
Dec. 31, 2022
USD ($)
security
Dec. 31, 2021
USD ($)
Sep. 17, 2021
USD ($)
Mar. 06, 2015
USD ($)
Long-term borrowings        
Number of trust preferred securities | security 2      
FHLB putable, non-amortizing, fixed rate advances        
Long-term borrowings        
FHBL advances, initial fixed rate period 3 months      
FHLB putable, non-amortizing, fixed rate advances | Minimum        
Long-term borrowings        
FHBL advances, bank interest rate 2.17%      
FHLB advances, maturities period 3 years      
FHLB putable, non-amortizing, fixed rate advances | Maximum        
Long-term borrowings        
FHBL advances, bank interest rate 3.20%      
FHLB advances, maturities period 4 years      
FHLB amortizing, fixed rate advances | Minimum        
Long-term borrowings        
FHBL advances, bank interest rate 1.25%      
FHLB advances, maturities period 3 years      
FHLB amortizing, fixed rate advances | Maximum        
Long-term borrowings        
FHBL advances, bank interest rate 3.83%      
FHLB advances, maturities period 9 years      
Vantage non-recourse borrowings        
Long-term borrowings        
Weighted average interest rate 4.75% 0.00%    
Vantage non-recourse borrowings | Minimum        
Long-term borrowings        
Weighted average interest rate 2.12%      
Vantage non-recourse borrowings | Maximum        
Long-term borrowings        
Weighted average interest rate 8.75%      
Junior subordinated debt securities        
Long-term borrowings        
Weighted average interest rate 8.66% 3.37%    
Junior subordinated debt securities $ 13,788 $ 13,650    
Junior subordinated debt securities | NB&T Financial Group, Inc.        
Long-term borrowings        
Weighted average interest rate 9.27%      
Debt instrument, face amount       $ 9,000
Junior subordinated debt securities $ 7,900     $ 6,600
Junior subordinated debt securities | Premier Financial Bancorp, Inc.        
Long-term borrowings        
Weighted average interest rate 7.83%      
Debt instrument, face amount     $ 6,200  
Junior subordinated debt securities $ 5,900   $ 6,100