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Securities (Tables)
6 Months Ended
Jun. 30, 2022
Securities [Abstract]  
Amortized Cost And Fair Value Of Available-For-Sale Securities Portfolio

Amortized Cost

Gross Unrealized Gains

Gross Unrealized Losses

Fair Value

June 30, 2022 (unaudited)

Corporate debt

$

9,977

$

-  

$

1,727

$

8,250

Issued by U.S. government-sponsored entities and agencies:

U.S. Treasury

4,036

-  

92

3,944

Mortgage-backed securities - residential

26

-  

-  

26

Total

$

14,039

$

-  

$

1,819

$

12,220

Amortized Cost

Gross Unrealized Gains

Gross Unrealized Losses

Fair Value

December 31, 2021

Corporate debt

$

9,976

$

-  

$

226

$

9,750

Issued by U.S. government-sponsored entities and agencies:

U.S. Treasury

6,551

31

21

6,561

Mortgage-backed securities - residential

35

1

-  

36

Total

$

16,562

$

32

$

247

$

16,347

Securities Classified By Maturity Date

June 30, 2022

December 31, 2021

(unaudited)

Amortized Cost

Fair Value

Amortized Cost

Fair Value

Due in one year or less

$

2,004

$

1,992

$

3,504

$

3,518

Due from one to five years

2,032

1,952

3,047

3,043

Due from five to ten years

9,977

8,250

9,976

9,750

Mortgage-backed securities - residential

26

26

35

36

Total

$

14,039

$

12,220

$

16,562

$

16,347

Fair Value Of Securities Pledged

June 30, 2022

December 31, 2021

(unaudited)

Pledged as collateral for:

FHLB advances

$

978

$

1,016

Public deposits

489

501

Mortgage banking derivatives

-  

1,504

Total

$

1,467

$

3,021

Securities With Unrealized Losses

June 30, 2022 (unaudited)

Less than 12 Months

12 Months or More

Total

Description of Securities

Fair Value

Unrealized Loss

Fair Value

Unrealized Loss

Fair Value

Unrealized Loss

Corporate debt

$

8,250

$

1,727

$

-  

$

-  

$

8,250

$

1,727

Issued by U.S. government-sponsored entities and agencies:

U.S. Treasury

2,483

21

1,462

71

3,945

92

Total temporarily impaired

$

10,733

$

1,748

$

1,462

$

71

$

12,195

$

1,819

December 31, 2021

Less than 12 Months

12 Months or More

Total

Description of Securities

Fair Value

Unrealized Loss

Fair Value

Unrealized Loss

Fair Value

Unrealized Loss

Corporate debt

$

9,750

$

226

$

-  

$

-  

$

9,750

$

226

Issued by U.S. government-sponsored entities and agencies:

U.S. Treasury

3,024

21

-  

-  

3,024

21

Total temporarily impaired

$

12,774

$

247

$

-  

$

-  

$

12,774

$

247