Note 11 - Fair Value Measurement (Tables)
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9 Months Ended |
Sep. 30, 2023 |
Notes Tables |
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Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block] |
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Fair Value Measurements at September 30, 2023 Using |
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Quoted Prices in |
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Active Markets |
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Significant Other |
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Significant |
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for Identical |
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Observable Inputs |
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Unobservable |
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Assets (Level 1) |
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(Level 2) |
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Inputs (Level 3) |
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Total |
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Assets Measured on a Recurring Basis: |
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(In Thousands) |
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Available for sale debt securities: |
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U.S. Treasury securities |
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$ |
280,718 |
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$ |
- |
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$ |
- |
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$ |
280,718 |
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Mortgage-backed securities |
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- |
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215,241 |
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- |
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215,241 |
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State and municipal securities |
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- |
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11,193 |
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- |
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11,193 |
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Corporate debt |
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- |
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320,790 |
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6,860 |
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327,650 |
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Total available-for-sale debt securities |
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280,718 |
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547,224 |
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6,860 |
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834,802 |
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Total assets at fair value |
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$ |
280,718 |
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$ |
547,224 |
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$ |
6,860 |
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$ |
834,802 |
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Fair Value Measurements at December 31, 2022 Using |
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Quoted Prices in |
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Active Markets |
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Significant Other |
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Significant |
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for Identical |
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Observable Inputs |
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Unobservable |
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Assets (Level 1) |
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(Level 2) |
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Inputs (Level 3) |
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Total |
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Assets Measured on a Recurring Basis: |
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(In Thousands) |
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Available for sale debt securities: |
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U.S. Treasury securities |
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$ |
2,969 |
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$ |
- |
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$ |
- |
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$ |
2,969 |
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Government agency securities |
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- |
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9 |
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- |
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9 |
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Mortgage-backed securities |
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- |
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249,703 |
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- |
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249,703 |
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State and municipal securities |
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- |
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13,609 |
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- |
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13,609 |
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Corporate debt |
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- |
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367,665 |
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10,860 |
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378,525 |
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Total available-for-sale debt securities |
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2,969 |
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630,986 |
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10,860 |
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644,815 |
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Interest rate cap derivative |
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- |
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4,201 |
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- |
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4,201 |
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Total assets at fair value |
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$ |
2,969 |
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$ |
635,187 |
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$ |
10,860 |
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$ |
649,016 |
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Fair Value Measurements, Nonrecurring [Table Text Block] |
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Fair Value Measurements at September 30, 2023 |
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Quoted Prices in Active Markets for Identical Assets (Level 1) |
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Significant Other Observable Inputs (Level 2) |
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Significant Unobservable Inputs (Level 3) |
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Total |
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Assets Measured on a Nonrecurring Basis: |
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(In Thousands) |
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Loans individually evaluated |
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$ |
- |
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$ |
- |
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|
$ |
69,570 |
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$ |
69,570 |
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Other real estate owned and repossessed assets |
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- |
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- |
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690 |
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690 |
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Total assets at fair value |
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$ |
- |
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$ |
- |
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$ |
70,260 |
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$ |
70,260 |
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Fair Value Measurements at December 31, 2022 |
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Quoted Prices in Active Markets for Identical Assets (Level 1) |
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Significant Other Observable Inputs (Level 2) |
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Significant Unobservable Inputs (Level 3) |
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Total |
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Assets Measured on a Nonrecurring Basis: |
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(In Thousands) |
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Loans individually evaluated |
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$ |
- |
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$ |
- |
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|
$ |
73,017 |
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$ |
73,017 |
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Other real estate owned and repossessed assets |
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- |
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- |
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248 |
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|
248 |
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Total assets at fair value |
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$ |
- |
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$ |
- |
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$ |
73,265 |
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$ |
73,265 |
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Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Table Text Block] |
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For the Three Months Ended September 30, |
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For the Nine Months Ended September 30, |
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2023 |
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2022 |
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2023 |
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2022 |
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Available-for-sale Securities |
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Available-for-sale Securities |
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Available-for-sale Securities |
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Available-for-sale Securities |
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(In Thousands) |
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Fair value, beginning of period |
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$ |
6,860 |
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|
$ |
6,000 |
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$ |
10,860 |
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$ |
16,992 |
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Transfers into Level 3 |
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- |
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- |
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- |
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- |
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Total realized gains included in income |
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- |
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- |
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- |
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- |
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Changes in unrealized gains/losses included in other comprehensive income for assets and liabilities still held at period-end |
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- |
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- |
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160 |
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(805 |
) |
Purchases |
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- |
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- |
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- |
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- |
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Transfers out of Level 3 |
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- |
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- |
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(4,160 |
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(10,187 |
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Fair value, end of period |
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$ |
6,860 |
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$ |
6,000 |
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$ |
6,860 |
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$ |
6,000 |
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Fair Value, by Balance Sheet Grouping [Table Text Block] |
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September 30, 2023 |
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December 31, 2022 |
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Carrying |
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Carrying |
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Amount |
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Fair Value |
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Amount |
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Fair Value |
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(In Thousands) |
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Financial Assets: |
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Level 1 Inputs: |
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Cash and cash equivalents |
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$ |
1,974,074 |
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$ |
1,974,074 |
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$ |
814,538 |
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$ |
814,538 |
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Held to maturity U.S. Treasury securities |
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|
558,196 |
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523,182 |
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507,151 |
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470,954 |
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Level 2 Inputs: |
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Federal funds sold |
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91,035 |
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91,035 |
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1,515 |
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1,515 |
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Held to maturity debt securities |
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485,453 |
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409,574 |
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526,720 |
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464,749 |
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Mortgage loans held for sale |
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6,333 |
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6,281 |
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1,607 |
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1,604 |
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Restricted equity securities |
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10,226 |
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10,226 |
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7,734 |
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7,734 |
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Level 3 Inputs: |
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Held to maturity debt securities |
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250 |
|
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|
250 |
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|
250 |
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|
250 |
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Loans, net |
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11,488,883 |
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11,069,141 |
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11,541,671 |
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11,265,517 |
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Financial Liabilities: |
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Level 2 Inputs: |
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Deposits |
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$ |
13,142,376 |
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$ |
13,128,874 |
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$ |
11,546,805 |
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$ |
11,529,647 |
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Federal funds purchased |
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1,370,289 |
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1,370,289 |
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1,618,798 |
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|
1,618,798 |
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Other borrowings |
|
|
64,751 |
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|
57,829 |
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64,726 |
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|
57,101 |
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