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Securities Available-for-Sale (Tables)
9 Months Ended
Sep. 30, 2018
Investments, Debt and Equity Securities [Abstract]  
Unrealized Gain (Loss) on Investments [Table Text Block]

The following table summarizes the amortized cost and fair value of securities available-for-sale at September 30, 2018 and December 31, 2017 and the corresponding amounts of gross unrealized gains and losses recognized in accumulated other comprehensive income (loss).

Gross Gross
Amortized Unrealized Unrealized Fair
Cost Gains Losses Value
September 30, 2018 (dollars in thousands)
Securities available-for-sale                    
Federal agency obligations $     48,963 $     14 $     (1,443 ) $     47,534
Residential mortgage pass-through securities 196,650 75 (6,174 ) 190,551
Commercial mortgage pass-through securities 3,953 - (110 ) 3,843
Obligations of U.S. states and political subdivisions 133,564 727 (3,903 ) 130,388
Corporate bonds and notes 26,305 96 (439 ) 25,962
Asset-backed securities 10,317 59 (13 ) 10,363
Certificates of deposit 420 3 - 423
Other securities 975 - - 975
Total securities available-for-sale $ 421,147 $ 974 $ (12,082 ) $ 410,039
                     
Gross Gross
Amortized Unrealized Unrealized Fair
Cost Gains Losses Value
December 31, 2017 (dollars in thousands)
Securities available-for-sale
Federal agency obligations $ 56,297 $ 141 $ (416 ) $ 56,022
Residential mortgage pass-through securities 183,509 330 (1,948 ) 181,891
Commercial mortgage pass-through securities 4,054 3 (3 ) 4,054
Obligations of U.S. states and political subdivisions 130,723 1,739 (1,334 ) 131,128
Trust preferred securities 4,577 205 (111 ) 4,671
Corporate bonds and notes 29,801 163 (271 ) 29,693
Asset-backed securities 12,021 66 (37 ) 12,050
Certificates of deposit 621 4 - 625
Equity securities 11,843 235 (350 ) 11,728
Other securities 3,422 - - 3,422
Total securities available-for-sale $ 436,868 $ 2,886 $ (4,470 ) $ 435,284
Investments Classified by Contractual Maturity Date [Table Text Block]

The following table presents information for investments in securities available-for-sale at September 30, 2018, based on scheduled maturities. Actual maturities can be expected to differ from scheduled maturities due to prepayment or early call options of the issuer. Securities not due at a single maturity date are shown separately.

September 30, 2018
Amortized Fair
Cost Value
(dollars in thousands)
Securities available-for-sale:            
Due in one year or less $     4,429 $     4,425
Due after one year through five years 36,607 36,375
Due after five years through ten years 28,135 28,290
Due after ten years 150,398 145,580
Residential mortgage pass-through securities 196,650 190,551
Commercial mortgage pass-through securities 3,953 3,843
Other securities 975 975
Total securities available-for-sale $ 421,147 $ 410,039
Schedule of Realized Gain (Loss) [Table Text Block]

Gross gains and losses from the sales, calls and maturities of securities for periods presented were as follows:

Three Months Ended Nine Months Ended
September 30, September 30,
(dollars in thousands)
              2018      2017        2018        2017
Proceeds $      - $      - $          - $       29,543
 
Gross gains on sales of securities - - - 1,596
Gross losses on sales of securities - - - -
Net gains on sales of securities - - - 1,596
Less: tax provision on net gains - - - (579 )
 
Net gains on sales of securities, after tax $ - $ - $ - $ 1,017
Schedule of Unrealized Loss on Investments [Table Text Block]

The following tables indicate gross unrealized losses not recognized in income and fair value, aggregated by investment category and the length of time individual securities have been in a continuous unrealized loss position at September 30, 2018 and December 31, 2017:

September 30, 2018
Total Less than 12 Months 12 Months or Longer
Fair Unrealized Fair Unrealized Fair Unrealized
Value Losses Value    Losses    Value    Losses
   (dollars in thousands)
Investment Securities
Available-for-Sale:                  
Federal agency obligation $     45,057 $     (1,443 ) $     21,455 $     (513 ) $     23,602 $     (930 )
Residential mortgage pass-through securities 185,442 (6,174 ) 106,190 (2,491 ) 79,252 (3,683 )
Commercial mortgage pass-through securities 3,843 (110 ) 3,843 (110 ) - -
Obligations of U.S. states and political subdivisions 78,481 (3,903 ) 33,733 (877 ) 44,748 (3,026 )
Corporate bonds and notes 15,655 (439 ) 11,008 (124 ) 4,647 (315 )
Asset-backed securities 4,113 (13 ) 2,303 (8 ) 1,810 (5 )
Total temporarily impaired securities $ 332,591 $ (12,082 ) $ 178,532 $ (4,123 ) $ 154,059 $ (7,959 )
 
  December 31, 2017
Total Less than 12 Months 12 Months or Longer
Fair Unrealized Fair Unrealized Fair Unrealized
Value Losses Value Losses Value Losses
(dollars in thousands)
Investment Securities
Available-for-Sale:                  
Federal agency obligation $     39,813 $     (416 ) $     28,407 $     (213 ) $     11,406 $     (203 )
Residential mortgage pass-through securities 148,574 (1,948 ) 117,556 (1,146 ) 31,018 (802 )
Commercial mortgage pass-through securities 1,198 (3 ) 1,198 (3 ) - -
Obligations of U.S. states and political subdivisions 57,685 (1,334 ) 17,909 (246 ) 39,776 (1,088 )
Trust preferred securities 1,469 (111 ) - - 1,469 (111 )
Corporate bonds and notes 11,074 (271 ) 1,965 (21 ) 9,109 (250 )
Asset-backed securities 7,428 (37 ) 993 (2 ) 6,435 (35 )
Equity securities 11,116 (350 ) - - 11,116 (350 )
Total temporarily impaired securities $ 278,357 $ (4,470 ) $ 168,028 $ (1,631 ) $ 110,329 $ (2,839 )