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The following tables summarize the gross unrealized losses and fair value of the Company’s securities available-for-sale and held-to-maturity, segregated by the duration of their continuous unrealized loss positions at September 30, 2024 and December 31, (Details)
$ in Thousands
Sep. 30, 2024
USD ($)
N
Dec. 31, 2023
USD ($)
N
Marketable Securities [Line Items]    
Available-for-sale, less than 12 months, number of securities | N 4
Available-for-sale, less than 12 months, fair value $ 10,438
Available-for-sale, less than 12 months, gross unrealized loss $ 89
Available-for-sale, over 12 months, number of securities | N 84 85
Available-for-sale, over 12 months, fair value $ 129,917 $ 136,980
Available-for-sale, over 12 months, gross unrealized loss $ 24,683 $ 29,166
Held-to-maturity, over 12 months, number of securities | N 39 38
Held-to-maturity, over 12 months, fair value $ 170,206 $ 173,845
Held-to-maturity, over 12 months, gross unrealized loss $ 30,912 $ 35,729
Total, less than 12 months, number of securities | N 4 4
Total, less than 12 months, fair value $ 10,438 $ 7,097
Total, less than 12 months, gross unrealized loss $ 89 $ 56
Total, over 12 months, number of securities | N 123 123
Total, over 12 months, fair value $ 300,123 $ 310,825
Total, over 12 months, gross unrealized loss $ 55,595 $ 64,895
Held-to-maturity, less than 12 months, number of securities | N   4
Held-to-maturity, less than 12 months, fair value   $ 7,097
Held-to-maturity, less than 12 months, gross unrealized loss   $ 56
Government-sponsored mortgage-backed securities [Member]    
Marketable Securities [Line Items]    
Available-for-sale, less than 12 months, number of securities | N 3
Available-for-sale, less than 12 months, fair value $ 9,412
Available-for-sale, less than 12 months, gross unrealized loss $ 88
Available-for-sale, less than 12 months, depreciation from amortized cost basis (%) 0.90%
Available-for-sale, over 12 months, number of securities | N 70 70
Available-for-sale, over 12 months, fair value $ 107,691 $ 112,557
Available-for-sale, over 12 months, gross unrealized loss $ 20,670 $ 23,976
Available-for-sale, over 12 months, depreciation from amortized cost basis (%) 16.10% 17.60%
Held-to-maturity, over 12 months, number of securities | N 37 36
Held-to-maturity, over 12 months, fair value $ 160,477 $ 164,395
Held-to-maturity, over 12 months, gross unrealized loss $ 30,640 $ 35,184
Held-to-maturity, over 12 months, depreciation from amortized cost basis (%) 16.00% 17.60%
Held-to-maturity, less than 12 months, number of securities | N   4
Held-to-maturity, less than 12 months, fair value   $ 7,097
Held-to-maturity, less than 12 months, gross unrealized loss   $ 56
Held-to-maturity, less than 12 months, depreciation from amortized cost basis (%)   0.80%
U.S. government guaranteed mortgage-backed securities [Member]    
Marketable Securities [Line Items]    
Available-for-sale, less than 12 months, number of securities | N
Available-for-sale, less than 12 months, fair value
Available-for-sale, less than 12 months, gross unrealized loss
Available-for-sale, less than 12 months, depreciation from amortized cost basis (%)
Available-for-sale, over 12 months, number of securities | N 9 9
Available-for-sale, over 12 months, fair value $ 5,189 $ 5,435
Available-for-sale, over 12 months, gross unrealized loss $ 1,118 $ 1,254
Available-for-sale, over 12 months, depreciation from amortized cost basis (%) 17.70% 18.70%
Government-sponsored enterprise obligations [Member]    
Marketable Securities [Line Items]    
Available-for-sale, less than 12 months, number of securities | N 1
Available-for-sale, less than 12 months, fair value $ 1,026
Available-for-sale, less than 12 months, gross unrealized loss $ 1
Available-for-sale, less than 12 months, depreciation from amortized cost basis (%) 0.10%
Available-for-sale, over 12 months, number of securities | N 3 3
Available-for-sale, over 12 months, fair value $ 12,456 $ 12,026
Available-for-sale, over 12 months, gross unrealized loss $ 2,476 $ 2,898
Available-for-sale, over 12 months, depreciation from amortized cost basis (%) 16.60% 19.40%
Corporate Bonds [Member]    
Marketable Securities [Line Items]    
Available-for-sale, less than 12 months, number of securities | N
Available-for-sale, less than 12 months, fair value
Available-for-sale, less than 12 months, gross unrealized loss
Available-for-sale, less than 12 months, depreciation from amortized cost basis (%)
Available-for-sale, over 12 months, number of securities | N 2 3
Available-for-sale, over 12 months, fair value $ 4,581 $ 6,962
Available-for-sale, over 12 months, gross unrealized loss $ 419 $ 1,038
Available-for-sale, over 12 months, depreciation from amortized cost basis (%) 8.40% 13.00%
US Treasury Securities [Member]    
Marketable Securities [Line Items]    
Held-to-maturity, over 12 months, number of securities | N 2 2
Held-to-maturity, over 12 months, fair value $ 9,729 $ 9,450
Held-to-maturity, over 12 months, gross unrealized loss $ 272 $ 545
Held-to-maturity, over 12 months, depreciation from amortized cost basis (%) 2.70% 5.50%