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Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2023
Fair Value Disclosures [Abstract]  
Schedule Of Assets And Liabilities Measured At Fair Value On A Recurring And Nonrecurring Basis
TotalLevel 1Level 2Level 3
December 31, 2023
Recurring fair value measurements
Financial Assets
Obligations of states and political subdivisions
$212,738 $ $212,738 $ 
     Mortgage-backed securities:
          U.S. Government agencies1,088,093  1,088,093  
          Private label6,704  4,833 1,871 
     Trust preferred securities4,278  4,278  
     Corporate securities26,324  26,324  
     Marketable equity securities7,538 3,093 4,445  
     Certificates of deposit held for investment     
     Derivative assets60,527  60,527  
Financial Liabilities
     Derivative liabilities48,578  48,578  
Nonrecurring fair value measurements
Non-Financial Assets
     Other real estate owned731   731 
 
TotalLevel 1Level 2Level 3
December 31, 2022
Recurring fair value measurements
Financial Assets
Obligations of states and political subdivisions
$268,315 $— $268,315 $— 
     Mortgage-backed securities:
      U.S. Government agencies1,202,279 — 1,202,279 — 
      Private label7,231 — 4,772 2,459 
     Trust preferred securities3,828 — 3,828 — 
     Corporate securities23,867 — 23,867 — 
     Marketable equity securities7,569 3,851 3,718 — 
     Certificates of deposit held for investment 747 — 747 — 
     Derivative assets81,838 — 81,838 — 
Financial Liabilities
     Derivative liabilities65,056 — 65,056 — 
Nonrecurring fair value measurements
Non-Financial Assets
     Other real estate owned909 — — 909 
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation
Changes in Level 3 Fair Value Measurements

The following table presents the changes in Level 3 assets recorded at fair value on a recurring basis during the periods indicated (in thousands):
    
20232022
Beginning balance$2,459 $3,461 
Changes in fair value95 (183)
Changes due to principal reduction(683)(819)
Ending balance$1,871 $2,459 

No transfers into or out of Level 3 of the fair value hierarchy occurred during the year ended December 31, 2023 or 2022.
Schedule Of Estimates Of Fair Value Of Financial Instruments
Carrying AmountFair ValueLevel 1Level 2Level 3
December 31, 2023
Assets:
Cash and cash equivalents$156,276 $156,276 $156,276 $ $ 
Securities available-for-sale1,338,137 1,338,137  1,336,266 1,871 
Marketable equity securities7,538 7,538 3,093 4,445  
Net loans4,103,178 3,922,638   3,922,638 
Accrued interest receivable20,290 20,290  20,290  
Derivative assets60,527 60,527  60,527  
Liabilities:
Deposits4,934,262 4,617,487 3,591,458 1,026,029  
Short-term debt334,856 334,856  334,856  
FHLB long-term advances100,000 99,928  99,928 — 
Accrued interest payable4,301 4,301 4,301  — 
Derivative liabilities48,578 48,578 — 48,578 — 
December 31, 2022
Assets:
Cash and cash equivalents$200,000 $200,000 $200,000 $— $— 
Securities available-for-sale1,505,520 1,505,520 — 1,503,061 2,459 
Marketable equity securities7,569 7,569 3,851 3,718 — 
Net loans3,629,150 3,491,318 — — 3,491,318 
Accrued interest receivable18,287 18,287 — 18,287 — 
Derivative assets81,838 81,838 — 81,838 — 
Liabilities:
Deposits4,869,866 4,867,883 3,981,766 886,117 — 
Short-term debt290,964 290,964 — 290,964 — 
Accrued interest payable953 953 953 — — 
Derivative liabilities65,056 65,056 — 65,056 —