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Investment Securities (Tables)
6 Months Ended
Dec. 31, 2023
Investment Securities  
Schedule of amortized cost, gross unrealized gains and losses, and estimated fair value of investments in debt securities

    

December 31, 2023

Gross

Gross

Allowance

Amortized

Unrealized

Unrealized

for Credit

Fair

(Dollars in thousands)

Cost

Gains

Losses

Losses

Value

Available For Sale:

    

  

    

 

  

    

 

  

 

  

    

 

  

Mortgage-backed securities

$

120,420

$

99

$

(15,664)

$

$

104,855

U.S. agency collateralized mortgage obligations

9,586

(1,705)

7,881

U.S. government agency securities

890

(81)

809

Municipal bonds

20,040

(4,814)

15,226

Corporate bonds

37,200

(5,033)

32,167

Total Available For Sale

$

188,136

$

99

$

(27,297)

$

$

160,938

    

December 31, 2023

Gross

Gross

Allowance

Amortized

Unrealized

Unrealized

Fair

for Credit

(Dollars in thousands)

Cost

Gains

Losses

Value

Losses

Held To Maturity:

    

  

    

 

  

    

 

  

 

  

    

 

  

Mortgage-backed securities

$

90,904

$

$

(15,121)

$

75,783

$

U.S. government agency securities

5,452

4

(48)

5,408

Municipal bonds

48

48

Total Held To Maturity

$

96,404

$

4

$

(15,169)

$

81,239

$

    

June 30, 2023

Gross

Gross

Amortized

Unrealized

Unrealized

Fair

(Dollars in thousands)

Cost

Gains

Losses

Value

Available For Sale:

    

  

    

 

  

    

 

  

 

  

Mortgage-backed securities

$

124,252

$

21

$

(17,517)

$

106,756

U.S. agency collateralized mortgage obligations

10,074

(1,782)

8,292

U.S. government agency securities

3,881

140

(89)

3,932

Municipal bonds

20,081

(5,102)

14,979

Corporate bonds

37,200

(6,032)

31,168

Total Available For Sale

$

195,488

$

161

$

(30,522)

$

165,127

Held To Maturity:

    

  

    

 

  

    

 

  

 

  

Mortgage-backed securities

$

94,648

$

$

(17,275)

$

77,373

U.S. government agency securities

4,982

(102)

4,880

Municipal bonds

60

60

Total Held To Maturity

$

99,690

$

$

(17,377)

$

82,313

Schedule of amortized cost and fair value of debt securities by contractual maturity

December 31, 2023

Available For Sale

Held To Maturity

    

Amortized

Fair

    

Amortized

Fair

(Dollars in thousands)

Cost

Value

Cost

Value

Due in one year or less

$

$

$

5,500

$

5,456

Due after one year through five years

 

8

 

8

 

 

Due after five years through ten years

 

41,872

35,944

 

 

Due after ten years

146,256

124,986

90,904

75,783

$

188,136

$

160,938

$

96,404

$

81,239

Schedule of debt securities with unrealized loss position

December 31, 2023

Less than 12 Months

12 Months or More

Total

Total

    

Fair

    

Unrealized

Fair

    

Unrealized

    

Fair

    

Unrealized

(Dollars in thousands)

Value

Losses

Value

Losses

Value

Losses

Available For Sale:

 

 

 

 

 

 

Mortgage-backed securities

 

$

 

$

 

$

100,300

 

$

(15,664)

 

$

100,300

 

$

(15,664)

U.S. agency collateralized mortgage obligations

 

 

 

 

 

 

7,881

 

(1,705)

 

 

7,881

 

 

(1,705)

U.S. government agency securities

 

 

 

 

 

 

809

 

 

(81)

 

 

809

 

 

(81)

Municipal bonds

 

 

 

 

 

 

15,226

 

 

(4,814)

 

 

15,226

 

 

(4,814)

Corporate bonds

 

2,889

 

(361)

 

29,278

 

(4,672)

 

32,167

 

(5,033)

2,889

(361)

153,494

(26,936)

156,383

(27,297)

Held To Maturity:

Mortgage-backed securities

 

 

 

75,783

 

(15,121)

75,783

 

(15,121)

U.S. government agency securities

 

 

 

 

 

 

4,447

 

 

(48)

 

 

4,447

 

 

(48)

 

 

 

80,230

 

(15,169)

 

80,230

 

(15,169)

Total Temporarily Impaired Securities

 

$

2,889

 

$

(361)

 

$

233,724

 

$

(42,105)

 

$

236,613

 

$

(42,466)

    

June 30, 2023

Less than 12 Months

12 Months or More

Total

Total

Fair

Unrealized

Fair

Unrealized

Fair

Unrealized

(Dollars in thousands)

Value

Losses

Value

Losses

Value

Losses

Available For Sale:

 

 

 

 

 

 

Mortgage-backed securities

 

$

16,794

 

$

(967)

 

$

86,371

 

$

(16,550)

 

$

103,165

 

$

(17,517)

U.S. agency collateralized mortgage obligations

 

 

 

 

 

 

8,292

 

(1,782)

 

 

8,292

 

 

(1,782)

U.S. government agency securities

 

 

 

 

 

 

943

 

 

(89)

 

 

943

 

 

(89)

Municipal bonds

 

 

 

 

 

 

14,979

 

 

(5,102)

 

 

14,979

 

 

(5,102)

Corporate bonds

 

10,715

 

(1,435)

 

20,453

 

(4,597)

 

31,168

 

(6,032)

27,509

(2,402)

131,038

(28,120)

158,547

(30,522)

Held To Maturity:

Mortgage-backed securities

 

 

77,373

 

(17,275)

77,373

(17,275)

U.S. government agency securities

 

4,880

 

 

(102)

 

 

 

 

 

 

4,880

 

(102)

 

4,880

 

(102)

 

77,373

 

(17,275)

 

82,253

 

(17,377)

Total Temporarily Impaired Securities

 

$

32,389

 

$

(2,504)

 

$

208,411

 

$

(45,395)

 

$

240,800

 

$

(47,899)