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Fair Value of Financial Instruments (Tables)
6 Months Ended
Jun. 30, 2021
Fair Value Disclosures [Abstract]  
Summary of the Fair Value of Financial Instruments

Following is a summary of the carrying amounts and fair values of the Company’s financial instruments:

June 30, 2021

December 31, 2020

(In thousands)

Carrying

Amount

Fair Value

Carrying

Amount

Fair Value

Balance sheet assets:

Cash and cash equivalents

$

621,581

$

621,581

$

670,528

$

670,528

Investment securities

507,047

507,047

357,726

357,726

Loans, net

859,849

861,911

879,732

883,461

Accrued interest receivable

6,802

6,802

6,850

6,850

Total

$

1,995,279

$

1,997,341

$

1,914,836

$

1,918,565

Balance sheet liabilities:

 

 

 

Deposits

$

1,015,943

$

1,015,943

$

1,050,856

$

1,050,856

Accounts and drafts payable

939,570

939,570

835,386

835,386

Accrued interest payable

58

58

38

38

Total

$

1,955,571

$

1,955,571

$

1,886,280

$

1,886,280