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Supplemental Cash Flow Note (Tables)
6 Months Ended
Jun. 30, 2023
Supplemental Cash Flow Information [Abstract]  
Schedule of Supplemental Cash Flow Disclosures The following table presents information related to cash paid during the period for interest and income taxes, as well as detail on non-cash investing and financing activities for the six months ended June 30:
20232022
(dollars in thousands)
Cash paid during the period for:
Interest$52,038 $5,946 
Income taxes16,924 16,621 
Non-cash investing and financing activities:
Loans transferred to other real estate owned and repossessed assets1,443 1,313 
Loans transferred from held to maturity to held for sale60,611 31,519 
Loans transferred from available for sale to held to maturity(519)— 
Gross decrease in market value adjustment to securities available for sale(3,761)(89,046)
Gross increase (decrease) in market value adjustment to derivatives2,225 (22,671)
Increase in limited partnership investment unfunded commitment3,350 — 
Noncash treasury stock reissuance1,966 1,947 
Net assets acquired through acquisition66,477 — 
Unsettled treasury stock repurchases— 625