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Note 14 - Supplemental Cash Flow Information
3 Months Ended
Mar. 31, 2022
Notes to Financial Statements  
Cash Flow, Supplemental Disclosures [Text Block]

Note 14 – Supplemental Cash Flow Information

 

Supplemental cash flow information as of and for the three months ended March 31, 2022 and 2021 is shown in the following table (dollars in thousands):

 

  

2022

  

2021

 

Supplemental Schedule of Cash and Cash Equivalents:

        

Cash and due from banks

 $34,506  $33,266 

Interest-bearing deposits in other banks

  452,562   383,984 

Cash and Cash Equivalents

 $487,068  $417,250 
         

Supplemental Disclosure of Cash Flow Information:

        

Cash paid for:

        

Interest on deposits and borrowed funds

 $995  $2,016 

Income taxes

     (1,205)

Noncash investing and financing activities:

        

Net unrealized losses on securities available for sale

  (30,861)  (5,882)

Net unrealized gains on cash flow hedges

  1,885   1,781