Quarterly Report — Form 10-Q
Filing Table of Contents
Document/Exhibit Description Pages Size
1: 10-Q Quarterly Report HTML 4.98M
2: EX-10.1 Material Contract HTML 150K
3: EX-10.2 Material Contract HTML 26K
4: EX-31.1 Certification -- §302 - SOA'02 HTML 30K
5: EX-31.2 Certification -- §302 - SOA'02 HTML 30K
6: EX-32.1 Certification -- §906 - SOA'02 HTML 26K
7: EX-32.2 Certification -- §906 - SOA'02 HTML 26K
13: R1 Cover HTML 77K
14: R2 Consolidated Balance Sheets HTML 132K
15: R3 Consolidated Balance Sheets (Parenthetical) HTML 51K
16: R4 Consolidated Statements of Income and HTML 150K
Comprehensive Income (Unaudited)
17: R5 Consolidated Statements of Income and HTML 27K
Comprehensive Income (Unaudited) (Parenthetical)
18: R6 Consolidated Statements of Shareholders? Equity HTML 104K
(Unaudited)
19: R7 Consolidated Statements of Shareholders? Equity HTML 26K
(Unaudited) (Parenthetical)
20: R8 Consolidated Statements of Cash Flows (Unaudited) HTML 186K
21: R9 Basis of Presentation and Accounting Policies HTML 37K
22: R10 Investment Securities HTML 209K
23: R11 Loans and Allowance for Credit Losses HTML 819K
24: R12 Securities Sold Under Agreements to Repurchase HTML 31K
25: R13 Other Borrowings HTML 52K
26: R14 Accumulated Other Comprehensive Income HTML 55K
27: R15 Weighted Average Shares Outstanding HTML 41K
28: R16 Fair Value Measures HTML 218K
29: R17 Commitments and Contingencies HTML 53K
30: R18 Segment Reporting HTML 218K
31: R19 Loan Servicing Rights HTML 133K
32: R20 Basis of Presentation and Accounting Policies HTML 44K
(Policies)
33: R21 Investment Securities (Tables) HTML 217K
34: R22 Loans and Allowance for Credit Losses (Tables) HTML 818K
35: R23 Securities Sold Under Agreements to Repurchase HTML 30K
(Tables)
36: R24 Other Borrowings (Tables) HTML 47K
37: R25 Accumulated Other Comprehensive Income (Tables) HTML 54K
38: R26 Weighted Average Shares Outstanding (Tables) HTML 40K
39: R27 Fair Value Measures (Tables) HTML 223K
40: R28 Commitments and Contingencies (Tables) HTML 46K
41: R29 Segment Reporting (Tables) HTML 214K
42: R30 Loan Servicing Rights (Tables) HTML 123K
43: R31 BASIS OF PRESENTATION AND ACCOUNTING POLICIES - HTML 29K
Narrative (Details)
44: R32 INVESTMENT SECURITIES - Amortized Cost and HTML 66K
Estimated Fair Value of Investment Securities
Available for Sale (Details)
45: R33 INVESTMENT SECURITIES - Amortized Cost and HTML 42K
Estimated Fair Value of Securities
Held-to-Maturity (Details)
46: R34 INVESTMENT SECURITIES - Amortized Cost and Fair HTML 95K
Value of Available for Sale Securities by
Contractual Maturity (Details)
47: R35 INVESTMENT SECURITIES - Narrative (Details) HTML 78K
48: R36 INVESTMENT SECURITIES - Schedule of Gross HTML 70K
Unrealized Losses and Fair Value of Securities
(Details)
49: R37 INVESTMENT SECURITIES - Schedule of HTML 49K
Held-to-Maturity Securities with Unrealized Losses
(Details)
50: R38 INVESTMENT SECURITIES - Schedule of Investments HTML 31K
Available-for-sale, Allowance for Credit Loss
(Details)
51: R39 INVESTMENT SECURITIES - Schedule of Gain on HTML 31K
Securities (Details)
52: R40 LOANS AND ALLOWANCE FOR CREDIT LOSSES - Loans HTML 48K
Receivable (Details)
53: R41 LOANS AND ALLOWANCE FOR CREDIT LOSSES - Narrative HTML 43K
(Details)
54: R42 LOANS AND ALLOWANCE FOR CREDIT LOSSES - Loans HTML 45K
Accounted for on a Nonaccrual Basis (Details)
55: R43 LOANS AND ALLOWANCE FOR CREDIT LOSSES - Analysis HTML 117K
of Past-Due Loans (Details)
56: R44 LOANS AND ALLOWANCE FOR CREDIT LOSSES - Summary of HTML 41K
Information Pertaining to Impaired Loans (Details)
57: R45 LOANS AND ALLOWANCE FOR CREDIT LOSSES - Loans by HTML 193K
Risk Grade (Details)
58: R46 LOANS AND ALLOWANCE FOR CREDIT LOSSES - Loans by HTML 99K
Class Modified as Troubled Debt Restructurings
(Details)
59: R47 LOANS AND ALLOWANCE FOR CREDIT LOSSES - Allowance HTML 74K
for Loan Losses (Details)
60: R48 Securities Sold Under Agreements to Repurchase HTML 28K
(Details)
61: R49 OTHER BORROWINGS - Schedule of Other Borrowings HTML 85K
(Details)
62: R50 OTHER BORROWINGS - Narrative (Details) HTML 32K
63: R51 Accumulated Other Comprehensive Income (Details) HTML 41K
64: R52 Weighted Average Shares Outstanding (Details) HTML 40K
65: R53 FAIR VALUE MEASURES - Loans Held for Sale Under HTML 31K
the Fair Value Option (Details)
66: R54 FAIR VALUE MEASURES - Narrative (Details) HTML 29K
67: R55 FAIR VALUE MEASURES - Difference Between Fair HTML 40K
Value and Principal Balance of Loans Held for Sale
Measured at Fair Value (Details)
68: R56 FAIR VALUE MEASURES - Fair Value Measurements of HTML 101K
Assets and Liabilities Measured on Recurring Basis
(Details)
69: R57 FAIR VALUE MEASURES - Fair Value Measurements of HTML 52K
Assets Measured at Fair Value on Non-Recurring
Basis (Details)
70: R58 FAIR VALUE MEASURES - Significant Unobservable HTML 80K
Inputs Used in Fair Value Measurement of Level 3
Assets and Liabilities (Details)
71: R59 FAIR VALUE MEASURES - Carrying Amount and HTML 75K
Estimated Fair Value of Financial Instruments
(Details)
72: R60 COMMITMENTS AND CONTINGENCIES - Schedule of HTML 31K
Guarantor Obligations (Details)
73: R61 COMMITMENTS AND CONTINGENCIES - Allowance for HTML 34K
Unfunded Commitments (Details)
74: R62 COMMITMENTS AND CONTINGENCIES - Narrative HTML 28K
(Details)
75: R63 SEGMENT REPORTING - Narrative (Details) HTML 26K
76: R64 SEGMENT REPORTING - Schedule of Segment Reporting, HTML 134K
by Reportable Business Segments (Details)
77: R65 LOAN SERVICING RIGHTS - Schedule of Carrying Value HTML 33K
of Loan Servicing Rights Assets (Details)
78: R66 LOAN SERVICING RIGHTS - Narrative (Details) HTML 33K
79: R67 LOAN SERVICING RIGHTS - Schedule of Activity of HTML 52K
Servicing Rights (Details)
80: R68 LOAN SERVICING RIGHTS - Schedule of Sensitivity of HTML 64K
Fair Value to Adverse Changes in Model Inputs
and/or Assumptions (Details)
83: XML IDEA XML File -- Filing Summary XML 153K
81: XML XBRL Instance -- abcb-20220630_htm XML 7.13M
82: EXCEL IDEA Workbook of Financial Reports XLSX 201K
9: EX-101.CAL XBRL Calculations -- abcb-20220630_cal XML 260K
10: EX-101.DEF XBRL Definitions -- abcb-20220630_def XML 702K
11: EX-101.LAB XBRL Labels -- abcb-20220630_lab XML 1.80M
12: EX-101.PRE XBRL Presentations -- abcb-20220630_pre XML 1.15M
8: EX-101.SCH XBRL Schema -- abcb-20220630 XSD 191K
84: JSON XBRL Instance as JSON Data -- MetaLinks 429± 690K
85: ZIP XBRL Zipped Folder -- 0000351569-22-000017-xbrl Zip 694K
‘EX-32.2’ — Certification — §906 – SOA’02
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