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Repurchase Agreements (Tables)
3 Months Ended
Mar. 31, 2021
Repurchase Agreements [Abstract]  
Remaining Contractual Maturity of Securities Sold Under Agreements to Repurchase by Class of Collateral Pledged

The remaining contractual maturity of the securities sold under agreements to repurchase by class of collateral pledged included in the accompanying consolidated balance sheets as of March 31, 2021 and December 31, 2020 is presented in the following tables:

 
March 31, 2021
 
   
Remaining Contractual Maturity of the Agreements
 
(in thousands)
 
Overnight and
Continuous
   
Up to 30 days
   
30-90 days
   
Greater Than
90 days
   
Total
 
Repurchase agreements and repurchase-to-maturity transactions:
                             
U.S. Treasury and government agencies
 
$
3,894
   
$
22
   
$
0
   
$
38,051
   
$
41,967
 
State and political subdivisions
   
63,479
     
179
     
0
     
32,463
     
96,121
 
U.S. government sponsored agency mortgage-backed securities
   
26,952
     
1,104
     
0
     
188,091
     
216,147
 
Total
 
$
94,325
   
$
1,305
   
$
0
   
$
258,605
   
$
354,235
 

 
December 31, 2020
 
   
Remaining Contractual Maturity of the Agreements
 
(in thousands)
 
Overnight and
Continuous
   
Up to 30 days
   
30-90 days
   
Greater Than
90 days
   
Total
 
Repurchase agreements and repurchase-to-maturity transactions:
                             
U.S. Treasury and government agencies
 
$
8,777
   
$
0
   
$
2,831
   
$
31,800
   
$
43,408
 
State and political subdivisions
   
54,639
     
0
     
1,132
     
21,421
     
77,192
 
U.S. government sponsored agency mortgage-backed securities
   
33,040
     
0
     
101,037
     
101,185
     
235,262
 
Total
 
$
96,456
   
$
0
   
$
105,000
   
$
154,406
   
$
355,862