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Fair Values of Assets and Liabilities (Tables)
12 Months Ended
Dec. 31, 2021
Fair Value Disclosures [Abstract]  
Quantitative Inputs and Assumptions Used in Level 3 Fair Value Measurements
In accordance with ASU 2011-4, the following table provides information related to quantitative inputs and assumptions used in Level 3 fair value measurements.
Fair Value
(dollars in
thousands)
Valuation TechniqueUnobservable InputsRange /  (weighted
average)
December 31, 2021
Other Investments$1,170 Carrying ValueN/AN/A
Nonperforming Loans598 (a)Gas Reserve StudyDiscount rate10.00%
Gas per MMBTU
$2.00 - $2.00 (b)
Oil per BBL/d
$50.00 - $50.00 (b)
Limited Partnership Investments14,981 Par ValueN/AN/A
December 31, 2020
Other Investments1,670 Carrying ValueN/AN/A
Nonperforming Loans798 (a)Gas Reserve studyDiscount rate10.00%
Gas per MMBTU
$1.46 - $1.48 (b)
Oil per BBL/d
$36.00 - $36.00 (b)
Limited Partnership Investments6,619 Par ValueN/AN/A
 
(a)the remainder of nonperforming loans valued using Level 3 inputs are not included in this disclosure as the values of those loans are based on bankruptcy agreement documentation.
(b)unobservable inputs are defined as follows: MMBTU—one million British thermal units; BBL/d—barrels per day
Schedule of Assets and Liabilities Measured at Fair Value on Recurring Basis
The tables below present the balances of assets and liabilities measured at fair value on a recurring basis at December 31:
 2021
 Level 1Level 2Level 3Total
 (dollars in thousands)
Obligations of U.S. Government Agencies:
Mortgage-Backed Securities—Residential$— $5,662 $— $5,662 
Mortgage-Backed Securities—Commercial— 362,290 — 362,290 
Obligations of U.S. Government-Sponsored Enterprises:
Mortgage-Backed Securities—Residential— 629,974 — 629,974 
Other Government-Sponsored Enterprises— 981 — 981 
Obligations of States and Political Subdivisions— 9,524 — 9,524 
Corporate Securities— 32,949 — 32,949 
Total Securities Available for Sale— 1,041,380 — 1,041,380 
Other Investments— 11,668 1,170 12,838 
Loans Held for Sale— 18,583 — 18,583 
Other Assets (a)— 26,805 14,981 41,786 
Total Assets$— $1,098,436 $16,151 $1,114,587 
Other Liabilities (a)$— $34,263 $— $34,263 
Total Liabilities$— $34,263 $— $34,263 
 
(a)Hedging and non-hedging interest rate derivatives and limited partnership investments
 2020
 Level 1Level 2Level 3Total
 (dollars in thousands)
Obligations of U.S. Government Agencies:
Mortgage-Backed Securities—Residential$— $7,230 $— $7,230 
Mortgage-Backed Securities—Commercial— 191,180 — 191,180 
Obligations of U.S. Government-Sponsored Enterprises:
Mortgage-Backed Securities—Residential— 496,033 — 496,033 
Other Government-Sponsored Enterprises— 100,998 — 100,998 
Obligations of States and Political Subdivisions— 11,397 — 11,397 
Corporate Securities— 24,385 — 24,385 
Total Securities Available for Sale— 831,223 — 831,223 
Other Investments— 10,557 1,670 12,227 
Loans Held for Sale— 33,436 — 33,436 
Premises and Equipment— 442 — 442 
Other Assets (a)— 54,362 6,619 60,981 
Total Assets$— $930,020 $8,289 $938,309 
Other Liabilities (a)$— $61,308 $— $61,308 
Total Liabilities$— $61,308 $— $61,308 
Schedule of Changes in Level 3 Assets and Liabilities Measured at Fair Value on Recurring Basis
The changes in Level 3 assets and liabilities measured at fair value on a recurring basis are summarized as follows for the year ended December 31, 2021:
 
Other InvestmentsOther AssetsTotal
 (dollars in thousands)
Balance, beginning of year$1,670 $6,619 $8,289 
Total gains or losses
Included in earnings— — — 
Included in other comprehensive income— — — 
Purchases, issuances, sales, and settlements
Purchases— 8,511 8,511 
Issuances— — — 
Sales— — — 
Settlements(500)(149)(649)
Transfers from Level 3— — — 
Transfers into Level 3— — — 
Balance, end of year$1,170 $14,981 $16,151 
There are no gains or losses included in earnings for the period that are attributable to the change in realized gains (losses) relating to assets held at December 31, 2021.
During the year ended December 31, 2021, there were no transfers between fair value Levels 1, 2 or 3.
The changes in Level 3 assets and liabilities measured at fair value on a recurring basis are summarized as follows for the year ended December 31, 2020:
Other InvestmentsOther AssetsTotal
 (dollars in thousands)
Balance, beginning of year$1,670 $5,795 $7,465 
Total gains or losses
Included in earnings— — — 
Included in other comprehensive income— — — 
Purchases, issuances, sales, and settlements
Purchases— 824 824 
Issuances— — — 
Sales— — — 
Settlements— — — 
Transfers from Level 3— — — 
Transfers into Level 3— — — 
Balance, end of year$1,670 $6,619 $8,289 
Schedule of Assets Measured on Nonrecurring Basis
The tables below present the balances of assets measured at fair value on a nonrecurring basis at December 31 and total gains and losses realized on these assets during the year ended December 31:
 2021
Level 1Level 2Level 3TotalTotal
Gains
(Losses)
 (dollars in thousands)
Nonperforming loans$— $42,538 $12,247 $54,785 $352 
Other real estate owned— 729 — 729 — 
Total Assets$— $43,267 $12,247 $55,514 $352 
 2020
 Level 1Level 2Level 3TotalTotal
Gains
(Losses)
 (dollars in thousands)
Nonperforming loans$— $35,543 $13,604 $49,147 $(7,905)
Other real estate owned— 1,319 — 1,319 (30)
Total Assets$— $36,862 $13,604 $50,466 $(7,935)
Carrying Amounts and Fair Values of Financial Instruments
The following table presents carrying amounts and estimated fair values of First Commonwealth’s financial instruments at December 31:
 2021
  Fair Value Measurements Using:
 Carrying
Amount
TotalLevel 1Level 2Level 3
 (dollars in thousands)
Financial assets
Cash and due from banks$84,738 $84,738 $84,738 $— $— 
Interest-bearing deposits310,634 310,634 310,634 — — 
Securities available for sale1,041,380 1,041,380 — 1,041,380 — 
Securities held to maturity541,311 536,651 — 536,651 — 
Other investments12,838 12,838 — 11,668 1,170 
Loans held for sale18,583 18,583 — 18,583 — 
Loans6,839,230 7,169,768 — 42,538 7,127,230 
Financial liabilities
Deposits7,982,498 7,980,101 — 7,980,101 — 
Short-term borrowings138,315 136,473 — 136,473 — 
Long-term debt5,573 6,065 — 6,065 — 
Subordinated debt170,775 175,040 — — 175,040 
Capital lease obligation5,921 5,921 — 5,921 — 
 2020
  Fair Value Measurements Using:
 Carrying
Amount
TotalLevel 1Level 2Level 3
 (dollars in thousands)
Financial assets
Cash and due from banks$100,009 $100,009 $100,009 $— $— 
Interest-bearing deposits256,572 256,572 256,572 — — 
Securities available for sale831,223 831,223 — 831,223 — 
Securities held to maturity361,844 369,851 — 369,851 — 
Other investments12,227 12,227 — 10,557 1,670 
Loans held for sale33,436 33,436 — 33,436 — 
Loans6,761,183 7,202,763 — 35,543 7,167,220 
Financial liabilities
Deposits7,438,666 7,440,906 — 7,440,906 — 
Short-term borrowings117,373 117,037 — 117,037 — 
Long-term debt56,258 57,881 — 57,881 — 
Subordinated debt170,612 165,665 — — 165,665 
Capital lease obligation6,385 6,385 — 6,385 —