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Investment Securities (Tables)
6 Months Ended
Jun. 30, 2022
Investment Securities [Abstract]  
Schedule of Available-for-Sale Securities Reconciliation

    

    

Gross

    

Gross

    

Estimated

Amortized

Unrealized

Unrealized

Fair

(Dollars in thousands)

Cost

Gains

Losses

Value

Available-for-sale securities:

June 30, 2022

U.S. Government agencies

$

22,238

$

9

$

2,760

$

19,487

Mortgage-backed

 

79,579

 

11

 

6,303

 

73,287

Other Debt securities

2,022

107

1,915

Total

$

103,839

$

20

$

9,170

$

94,689

December 31, 2021

U.S. Government agencies

$

22,932

$

7

$

634

$

22,305

Mortgage-backed

 

91,948

 

1,318

 

629

 

92,637

Other Debt securities

 

2,026

 

14

 

 

2,040

Total

$

116,906

$

1,339

$

1,263

$

116,982

Schedule of Held-to-Maturity

    

    

Gross

    

Gross

    

Estimated

Amortized

Unrealized

Unrealized

Fair

(Dollars in thousands)

Cost

Gains

Losses

Value

Held-to-maturity securities:

    

    

    

    

June 30, 2022

U.S. Government agencies

$

104,847

$

$

8,254

$

96,593

Mortgage-backed

341,709

47

35,006

306,750

States and political subdivisions

 

400

 

 

 

400

Other debt securities

 

12,001

 

 

309

 

11,692

Total

$

458,957

$

47

$

43,569

$

415,435

December 31, 2021

U.S. Government agencies

$

87,072

$

20

$

1,231

$

85,861

Mortgage-backed

302,604

301

2,248

300,657

States and political subdivisions

 

400

 

2

 

 

402

Other debt securities

 

14,518

 

95

 

9

 

14,604

Total

$

404,594

$

418

$

3,488

$

401,524

Available-For-Sale Securities and Held-to-Maturity, Continuous Unrealized Loss Position, Fair Value

Less than

More than

12 Months

12 Months

Total

    

Fair

    

Unrealized

    

Fair

    

Unrealized

    

Fair

    

Unrealized

(Dollars in thousands)

Value

Losses

Value

Losses

Value

Losses

June 30, 2022

Available-for-sale securities:

U.S. Government agencies

$

2,097

$

155

$

15,395

$

2,605

$

17,492

$

2,760

Mortgage-backed

 

44,686

 

2,320

 

27,615

 

3,983

 

72,301

 

6,303

Other debt securities

1,915

107

1,915

107

Total

$

48,698

$

2,582

$

43,010

$

6,588

$

91,708

$

9,170

Held-to-maturity securities:

U.S. Government agencies

$

77,296

$

5,945

$

19,297

$

2,309

$

96,593

$

8,254

Mortgage-backed

258,844

29,538

32,690

5,468

291,534

35,006

Other debt securities

8,691

309

8,691

309

Total

$

344,831

$

35,792

$

51,987

$

7,777

$

396,818

$

43,569

Less than

More than

12 Months

12 Months

Total

    

Fair

    

Unrealized

    

Fair

    

Unrealized

    

Fair

    

Unrealized

(Dollars in thousands)

Value

Losses

Value

Losses

Value

Losses

December 31, 2021

Available-for-sale securities:

U.S. Government agencies

$

1,561

$

1

$

17,368

$

633

$

18,929

$

634

Mortgage-backed

 

39,851

 

593

 

3,562

 

36

 

43,413

 

629

Total

$

41,412

$

594

$

20,930

$

669

$

62,342

$

1,263

Held-to-maturity securities:

U.S. Government agencies

$

64,268

$

1,005

$

11,719

$

226

$

75,987

$

1,231

Mortgage-backed

226,918

1,836

14,564

412

241,482

2,248

Other debt securities

 

491

 

9

 

 

 

491

 

9

Total

$

291,677

$

2,850

$

26,283

$

638

$

317,960

$

3,488

Schedule of Securities Debt Maturities

Available for sale

Held to maturity

    

Amortized

    

    

Amortized

    

(Dollars in thousands)

Cost

Fair Value

Cost

Fair Value

Due in one year or less

$

34

$

33

$

4,415

$

4,396

Due after one year through five years

 

2,254

 

2,211

 

50,829

 

48,325

Due after five years through ten years

 

51,738

 

48,323

 

91,469

 

86,063

Due after ten years

 

49,813

 

44,122

 

312,244

 

276,651

Total

$

103,839

$

94,689

$

458,957

$

415,435