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BORROWINGS (Tables)
9 Months Ended
Sep. 30, 2021
Debt Disclosure [Abstract]  
Schedule Of Remaining Contractual Maturity Of Secured Borrowings And Class Of Collateral Pledged Under Repurchase Agreements Table [Table Text Block]
The following shows the remaining contractual maturity of repurchase agreements by collateral pledged:
(Dollars in thousands)Overnight and continuous
Repurchase agreements
Mortgage-backed securities$50,075 
Collateralized mortgage obligations31,775 
Total$81,850 
Summary of Long-term Debt
The following is a summary of First Financial's long-term debt:
 September 30, 2021December 31, 2020
(Dollars in thousands)AmountAverage rateAmountAverage rate
FRB borrowings$0.00 %$434,982 0.35 %
FHLB borrowings0.00 %19,971 1.43 %
Subordinated notes313,134 4.85 %321,384 4.86 %
Unamortized debt issuance costs(2,480)N/A(2,770)N/A
Lease liability1,801 3.81 %1,860 3.81 %
Capital loan with municipality775 0.00 %775 0.00 %
Total long-term debt$313,230 4.87 %$776,202 2.25 %