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Note 18 - Stockholders' Equity (Tables)
6 Months Ended
Jun. 30, 2023
Notes Tables  
Schedule of Accumulated Other Comprehensive Income (Loss) [Table Text Block]
  

Three months ended June 30, 2023

  

Three months ended June 30, 2022

 
  

Pre-tax

  

Tax expense/

(benefit)

  

Net-of-tax

  

Pre-tax

  

Tax expense/

(benefit)

  

Net-of-tax

 

 

 

(In thousands)

 
Beginning balance, gain/(loss), net of tax                     

Securities available-for-sale

      $(93,173)         $(45,755)

Cash flow hedge derivatives

       2,096           (222)

Total

         $(91,077)         $(45,977)
                         

Net unrealized gains/(losses) arising during the period

                        

Securities available-for-sale

 $(10,691) $(3,160) $(7,531) $(37,557) $(11,102) $(26,455)

Cash flow hedge derivatives

  (626)  (185)  (441)  1,567   463   1,104 

Total

 $(11,317) $(3,345) $(7,972) $(35,990) $(10,639) $(25,351)
                         

Reclassification adjustment for net losses in net income

                        

Securities available-for-sale

                  

Cash flow hedge derivatives

                  

Total

                  
                         

Total other comprehensive income/(loss)

                        

Securities available-for-sale

 $(10,691) $(3,160) $(7,531) $(37,557) $(11,102) $(26,455)

Cash flow hedge derivatives

  (626)  (185)  (441)  1,567   463   1,104 

Total

 $(11,317) $(3,345) $(7,972) $(35,990) $(10,639) $(25,351)
                         

Ending balance, gain/(loss), net of tax

                        

Securities available-for-sale

      $(100,704)         $(72,210)

Cash flow hedge derivatives

       1,655           882 

Total

         $(99,049)         $(71,328)
  

Six months ended June 30, 2023

  

Six months ended June 30, 2022

 
  

Pre-tax

  

Tax expense/ (benefit)

  

Net-of-tax

  

Pre-tax

  

Tax expense/ (benefit)

  

Net-of-tax

 

 

 

(In thousands)

 
Beginning balance, gain/(loss), net of tax                     

Securities available-for-sale

      $(104,832)         $211 

Cash flow hedge derivatives

       2,537           (3,276)

Total

         $(102,295)         $(3,065)
                         

Net unrealized gains/(losses) arising during the period

                        

Securities available-for-sale

 $5,860  $1,732  $4,128  $(102,812) $(30,391) $(72,421)

Cash flow hedge derivatives

  (1,252)  (370)  (882)  5,903   1,745   4,158 

Total

 $4,608  $1,362  $3,246  $(96,909) $(28,646) $(68,263)
                         

Reclassification adjustment for net losses in net income

                        

Securities available-for-sale

                  

Cash flow hedge derivatives

                  

Total

                  
                         

Total other comprehensive income/(loss)

                        

Securities available-for-sale

 $5,860  $1,732  $4,128  $(102,812) $(30,391) $(72,421)

Cash flow hedge derivatives

  (1,252)  (370)  (882)  5,903   1,745   4,158 

Total

 $4,608  $1,362  $3,246  $(96,909) $(28,646) $(68,263)
                         

Ending balance, gain/(loss), net of tax

                        

Securities available-for-sale

      $(100,704)         $(72,210)

Cash flow hedge derivatives

       1,655           882 

Total

         $(99,049)         $(71,328)