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Securities Available-for-Sale (Tables)
6 Months Ended
Jun. 30, 2019
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 June 30, 2019 and December 31, 2018 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
June 30, 2019 (dollars in thousands)
Securities available-for-sale
Federal agency obligations   $      24,877   $      599   $      (15 )   $      25,461
Residential mortgage pass-through securities 230,064 881 (1,403 )     229,542
Commercial mortgage pass-through securities 5,748 78 - 5,826
Obligations of U.S. states and political subdivisions 142,521 2,417 (819 )     144,119
Corporate bonds and notes 28,128 267 (278 )     28,117
Asset-backed securities 7,802 2 (58 )     7,746
Certificates of deposit 148 2 - 150
Other securities 950 - - 950
Total securities available-for-sale   $ 440,238   $ 4,246   $ (2,573 )   $ 441,911
                           
Gross Gross
Amortized Unrealized Unrealized Fair
Cost Gains Losses Value
December 31, 2018 (dollars in thousands)
Securities available-for-sale
Federal agency obligations   $ 45,509   $ 51   $ (605 )   $ 44,955
Residential mortgage pass-through securities 189,721 85 (4,602 )     185,204
Commercial mortgage pass-through securities 3,919 - (45 )     3,874
Obligations of U.S. states and political subdivisions 141,496 1,091 (3,402 )     139,185
Corporate bonds and notes 26,308 45 (540 )     25,813
Asset-backed securities 9,685 22 (16 )     9,691
Certificates of deposit 319 3 - 322
Other securities 2,990 - - 2,990
Total securities available-for-sale   $ 419,947   $ 1,297   $ (9,210 )   $ 412,034
Investments Classified by Contractual Maturity Date [Table Text Block]

The following table presents information for investments in securities available-for-sale at June 30, 2019, 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.

    June 30, 2019
    Amortized   Fair
    Cost   Value
    (dollars in thousands)
Securities available-for-sale:                    
Due in one year or less   $     4,166   $     4,192
Due after one year through five years     29,411     29,449
Due after five years through ten years     22,538     23,126
Due after ten years     147,361     148,826
Residential mortgage pass-through securities     230,064     229,542
Commercial mortgage pass-through securities     5,748     5,826
Other securities     950     950
Total securities available-for-sale   $ 440,238   $ 441,911
Schedule of Realized Gain (Loss) [Table Text Block]

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

Three Months Ended Six Months Ended
      June 30,       June 30,
(dollars in thousands)
2019       2018       2019       2018
Proceeds   $      47,664 $        -   $      141,739 $        -
                     
Gross gains on sales of securities 263 -   400 -
Gross losses on sales of securities (272 )   -   (401 )   -
Net losses on sales of securities (9 )   -   (1 )   -
Less: tax provision on net losses (2 ) -   - -
           
Net losses on sales of securities, after tax   $ (7 )   $ -   $ (1 )   $ -
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 June 30, 2019 and December 31, 2018:

    June 30, 2019
    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   $      4,260   $      (15 )   $      -   $      -     $      4,260   $      (15 )
Residential mortgage pass-through securities     147,392     (1,403 )     42,750     (73 )     104,642     (1,330 )
Obligations of U.S. states and political subdivisions     41,825     (819 )     -     -       41,825     (819 )
Corporate bonds and notes     8,696     (278 )     2,000     -       6,696     (278 )
Asset-backed securities     6,397     (58 )     4,406     (47 )     1,991     (11 )
Total temporarily impaired securities   $ 208,570   $ (2,573 )   $ 49,156   $ (120 )   $ 159,414   $ (2,453 )
                                           
    December 31, 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   $ 35,472   $ (605 )   $ 810   $ (1 )   $ 34,662   $ (604 )
Residential mortgage pass-through securities     178,365     (4,602 )     42,040     (393 )     136,325     (4,209 )
Commercial mortgage pass-through securities     3,874     (45 )     -     -       3,874     (45 )
Obligations of U.S. states and political subdivisions     64,367     (3,402 )     7,765     (21 )     56,602     (3,381 )
Corporate bonds and notes     15,534     (540 )     7,767     (133 )     7,767     (407 )
Asset-backed securities     3,957     (16 )     2,219     (11 )     1,738     (5 )
Total Temporarily Impaired Securities   $ 301,569   $ (9,210 )   $ 60,601   $ (559 )   $ 240,968   $ (8,651 )