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Securities (Tables)
6 Months Ended
Jun. 30, 2023
Securities [Abstract]  
Summary Of Securities Held-To-Maturity And Securities Available-For-Sale

June 30, 2023

Amortized

Gross Unrealized

Fair

Cost

Gains

Losses

Value

Held-to-maturity

U.S. agency obligations

$

3,630

$

$

(458)

$

3,172

Available-for-sale

U.S. Treasuries

$

4,949

$

$

(127)

$

4,822

U.S. agency obligations

69,660

(9,308)

60,352

Mortgage-backed securities

76,806

(10,836)

65,970

Municipals

50,912

(10,983)

39,929

Corporates

16,530

(978)

15,552

$

218,857

$

$

(32,232)

$

186,625

December 31, 2022

Amortized

Gross Unrealized

Fair

Cost

Gains

Losses

Value

Held-to-maturity

U.S. agency obligations

$

3,639

$

$

(504)

$

3,135

Available-for-sale

U.S. Treasuries

$

4,912

$

$

(171)

$

4,741

U.S. agency obligations

68,833

(9,560)

59,273

Mortgage-backed securities

78,955

(11,113)

67,842

Municipals

49,951

(12,096)

37,855

Corporates

17,037

(961)

16,076

$

219,688

$

$

(33,901)

$

185,787

Gross Unrealized Losses And Fair Value Of The Bank’s Investments

June 30, 2023

Less than 12 months

More than 12 months

Total

Fair

Unrealized

Fair

Unrealized

Fair

Unrealized

Value

Losses

Value

Losses

Value

Losses

Available-for-sale

U.S. Treasuries

$

$

$

4,822

$

127

$

4,822

$

127

U.S. agency obligations

2,011

108

58,341

9,200

60,352

9,308

Mortgage-backed securities

1,538

24

64,432

10,812

65,970

10,836

Municipals

2,220

99

37,709

10,884

39,929

10,983

Corporates

7,552

978

7,552

978

Total temporarily impaired securities

$

5,769

$

231

$

172,856

$

32,001

$

178,625

$

32,232

December 31, 2022

Less than 12 months

More than 12 months

Total

Fair

Unrealized

Fair

Unrealized

Fair

Unrealized

Value

Losses

Value

Losses

Value

Losses

Held-to-maturity

U.S. agency obligations

$

3,135

$

504

$

$

$

3,135

$

504

Available-for-sale

U.S. Treasuries

4,741

171

4,741

171

U.S. agency obligations

27,708

2,838

31,565

6,722

59,273

9,560

Mortgage-backed securities

42,024

5,656

25,818

5,457

67,842

11,113

Municipals

10,847

2,245

27,008

9,851

37,855

12,096

Corporates

6,568

469

1,508

492

8,076

961

Total temporarily impaired securities

$

95,023

$

11,883

$

85,899

$

22,522

$

180,922

$

34,405

Contractual Maturities Of Investment Securities

June 30, 2023

Amortized

Costs

Fair Value

Held-to-maturity:

Due in one year or less

$                     -

$                     -

Due after one year through five years

-

-

Due after five years through ten years

2,422

2,153

Due after ten years

1,208

1,019

Total securities Held-to-maturity

$             3,630

$             3,172

Amortized

Costs

Fair Value

Available-for-sale:

Due in one year or less

$             6,934

$             6,801

Due after one year through five years

42,787

38,693

Due after five years through ten years

65,963

56,994

Due after ten years

103,173

84,137

Total securities Available-for-sale

$         218,857

$         186,625