XML 49 R39.htm IDEA: XBRL DOCUMENT v3.23.3
Note 18 - Stockholders' Equity (Tables)
9 Months Ended
Sep. 30, 2023
Notes Tables  
Schedule of Accumulated Other Comprehensive Income (Loss) [Table Text Block]
  

Three Months Ended September 30, 2023

  

Three Months Ended September 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

         $(100,704)         $(72,210)

Cash flow hedge derivatives

          1,655           882 

Total

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

Net unrealized gains/(losses) arising during the period

                        

Securities available-for-sale

 $(34,133) $(10,090) $(24,043) $(61,316) $(18,125) $(43,191)

Cash flow hedge derivatives

  (626)  (185)  (441)  2,677   791   1,886 

Total

 $(34,759) $(10,275) $(24,484) $(58,639) $(17,334) $(41,305)
                         

Reclassification adjustment for net losses in net income

                        

Cash flow hedge derivatives

           (342)  (101)  (241)

Total

           (342)  (101)  (241)
                         

Total other comprehensive income/(loss)

                        

Securities available-for-sale

 $(34,133) $(10,090) $(24,043) $(61,316) $(18,125) $(43,191)

Cash flow hedge derivatives

  (626)  (185)  (441)  2,335   690   1,645 

Total

 $(34,759) $(10,275) $(24,484) $(58,981) $(17,435) $(41,546)
                         

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

                        

Securities available-for-sale

       $(124,747)       $(115,401)

Cash flow hedge derivatives

          1,214           2,527 

Total

         $(123,533)         $(112,874)
  

Nine Months Ended September 30, 2023

  

Nine Months Ended September 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

 $(28,272) $(8,357) $(19,915) $(164,128) $(48,516) $(115,612)

Cash flow hedge derivatives

  (1,878)  (555)  (1,323)  11,060   3,269   7,791 

Total

 $(30,150) $(8,912) $(21,238) $(153,068) $(45,247) $(107,821)
                         

Reclassification adjustment for net losses in net income

                        

Cash flow hedge derivatives

           (2,822)  (834)  (1,988)

Total

           (2,822)  (834)  (1,988)
                         

Total other comprehensive income/(loss)

                        

Securities available-for-sale

 $(28,272) $(8,357) $(19,915) $(164,128) $(48,516) $(115,612)

Cash flow hedge derivatives

  (1,878)  (555)  (1,323)  8,238   2,435   5,803 

Total

 $(30,150) $(8,912) $(21,238) $(155,890) $(46,081) $(109,809)
                         

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

                        

Securities available-for-sale

       $(124,747)       $(115,401)

Cash flow hedge derivatives

          1,214           2,527 

Total

         $(123,533)         $(112,874)