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Securities (Tables)
12 Months Ended
Jun. 30, 2020
Securities [Abstract]  
Components of Securities
Securities at June 30, 2020 consisted of the following:

(In thousands)
 
Amortized Cost
  
Gross Unrealized
Gains
  
Gross Unrealized
Losses
  
Estimated
Fair Value
 
Securities available-for-sale:
            
U.S. government sponsored enterprises
 
$
502
  
$
2
  
$
-
  
$
504
 
State and political subdivisions
  
176,064
   
1,043
   
-
   
177,107
 
Mortgage-backed securities-residential
  
15,148
   
380
   
-
   
15,528
 
Mortgage-backed securities-multi-family
  
28,116
   
798
   
4
   
28,910
 
Corporate debt securities
  
4,510
   
163
   
13
   
4,660
 
Total securities available-for-sale
  
224,340
   
2,386
   
17
   
226,709
 
Securities held-to-maturity:
                
U.S. government sponsored enterprises
  
2,000
   
11
   
-
   
2,011
 
State and political subdivisions
  
210,535
   
14,286
   
3
   
224,818
 
Mortgage-backed securities-residential
  
38,884
   
1,002
   
15
   
39,871
 
Mortgage-backed securities-multi-family
  
127,582
   
6,680
   
21
   
134,241
 
Corporate debt securities
  
2,593
   
7
   
130
   
2,470
 
Other securities
  
2,063
   
38
   
-
   
2,101
 
Total securities held-to-maturity
  
383,657
   
22,024
   
169
   
405,512
 
Total securities
 
$
607,997
  
$
24,410
  
$
186
  
$
632,221
 

Securities at June 30, 2019 consisted of the following:

(In thousands)
 
Amortized Cost
  
Gross Unrealized
Gains
  
Gross Unrealized
Losses
  
Estimated
Fair Value
 
Securities available-for-sale:
            
U.S. government sponsored enterprises
 
$
5,522
  
$
31
  
$
-
  
$
5,553
 
State and political subdivisions
  
95,782
   
788
   
-
   
96,570
 
Mortgage-backed securities-residential
  
2,634
   
31
   
20
   
2,645
 
Mortgage-backed securities-multi-family
  
16,151
   
259
   
-
   
16,410
 
Corporate debt securities
  
1,513
   
37
   
-
   
1,550
 
Total securities available-for-sale
  
121,602
   
1,146
   
20
   
122,728
 
Securities held-to-maturity:
                
U.S. government sponsored enterprises
  
9,249
   
1
   
14
   
9,236
 
State and political subdivisions
  
152,358
   
6,212
   
23
   
158,547
 
Mortgage-backed securities-residential
  
4,570
   
97
   
-
   
4,667
 
Mortgage-backed securities-multi-family
  
134,970
   
3,122
   
17
   
138,075
 
Corporate debt securities
  
1,478
   
18
   
25
   
1,471
 
Other securities
  
1,583
   
34
   
-
   
1,617
 
Total securities held-to-maturity
  
304,208
   
9,484
   
79
   
313,613
 
Total securities
 
$
425,810
  
$
10,630
  
$
99
  
$
436,341
 
Securities in Continuous Unrealized Loss Position
The following table shows fair value and gross unrealized losses, aggregated by security category and length of time that individual securities have been in a continuous unrealized loss position, at June 30, 2020.

  
Less Than 12 Months
  
More Than 12 Months
  
Total
 
(In thousands, except number of securities)
 
Fair
Value
  
Unrealized
Losses
  
Number
of
Securities
  
Fair
Value
  
Unrealized
Losses
  
Number
of
Securities
  
Fair
Value
  
Unrealized
Losses
  
Number
of
Securities
 
Securities available-for-sale:
                           
Mortgage-backed securities-multi-family
 
$
1,051
  
$
4
   
1
  
$
-
  
$
-
   
-
  
$
1,051
  
$
4
   
1
 
Corporate debt securities
  
2,487
   
13
   
3
   
-
   
-
   
-
   
2,487
   
13
   
3
 
Total securities available-for-sale
  
3,538
   
17
   
4
   
-
   
-
   
-
   
3,538
   
17
   
4
 
Securities held-to-maturity:
                                    
State and political subdivisions
  
3,336
   
3
   
12
   
-
   
-
   
-
   
3,336
   
3
   
12
 
Mortgage-backed securities-residential
  
3,604
   
15
   
2
   
-
   
-
   
-
   
3,604
   
15
   
2
 
Mortgage-backed securities-multi-family
  
3,562
   
21
   
3
   
-
   
-
   
-
   
3,562
   
21
   
3
 
Corporate debt securities
  
1,103
   
2
   
2
   
361
   
128
   
1
   
1,464
   
130
   
3
 
Total securities held-to-maturity
  
11,605
   
41
   
19
   
361
   
128
   
1
   
11,966
   
169
   
20
 
Total securities
 
$
15,143
  
$
58
   
23
  
$
361
  
$
128
   
1
  
$
15,504
  
$
186
   
24
 

The following table shows fair value and gross unrealized losses, aggregated by security category and length of time that individual securities have been in a continuous unrealized loss position, at June 30, 2019.

  
Less Than 12 Months
  
More Than 12 Months
  
Total
 
(In thousands, except number of securities)
 
Fair
Value
  
Unrealized
Losses
  
Number
of
Securities
  
Fair
Value
  
Unrealized
Losses
  
Number
of
Securities
  
Fair
Value
  
Unrealized
Losses
  
Number
of
Securities
 
Securities available-for-sale:
                           
Mortgage-backed securities-residential
 
$
856
  
$
20
   
1
  
$
-
  
$
-
   
-
  
$
856
  
$
20
   
1
 
Total securities available-for-sale
  
856
   
20
   
1
   
-
   
-
   
-
   
856
   
20
   
1
 
Securities held-to-maturity:
                                    
U.S. government sponsored enterprises
  
-
   
-
   
-
   
1,986
   
14
   
1
   
1,986
   
14
   
1
 
State and political subdivisions
  
3,541
   
17
   
22
   
2,111
   
6
   
13
   
5,652
   
23
   
35
 
Mortgage-backed securities-multi-family
  
1,250
   
6
   
1
   
3,799
   
11
   
3
   
5,049
   
17
   
4
 
Corporate debt securities
  
-
   
-
   
-
   
452
   
25
   
1
   
452
   
25
   
1
 
Total securities held-to-maturity
  
4,791
   
23
   
23
   
8,348
   
56
   
18
   
13,139
   
79
   
41
 
Total securities
 
$
5,647
  
$
43
   
24
  
$
8,348
  
$
56
   
18
  
$
13,995
  
$
99
   
42
 
Investments Classified by Contractual Maturity Date
The estimated fair values of debt securities at June 30, 2020, by contractual maturity are shown below.  Expected maturities may differ from contractual maturities, because issuers may have the right to call or prepay obligations with or without call or prepayment penalties.

(In thousands)
Available-for-sale debt securities
 
Amortized Cost
  
Fair Value
 
Within one year
 
$
173,351
  
$
174,383
 
After one year through five years
  
4,181
   
4,280
 
After five years through ten years
  
1,544
   
1,603
 
After ten years
  
2,000
   
2,005
 
Total available-for-sale debt securities
  
181,076
   
182,271
 
Mortgage-backed and asset-backed securities
  
43,264
   
44,438
 
Total available-for-sale securities
  
224,340
   
226,709
 
         
Held-to-maturity debt securities
        
Within one year
  
37,271
   
37,882
 
After one year through five years
  
89,352
   
93,517
 
After five years through ten years
  
56,560
   
61,606
 
After ten years
  
34,008
   
38,395
 
Total held-to-maturity debt securities
  
217,191
   
231,400
 
Mortgage-backed
  
166,466
   
174,112
 
Total held-to-maturity securities
  
383,657
   
405,512
 
Total securities
 
$
607,997
  
$
632,221