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Securities (Tables)
9 Months Ended
Sep. 30, 2021
Notes Tables  
Schedule of portfolio of securities

The following table summarizes the Company’s portfolio of securities held-to-maturity at September 30, 2021:

Gross

Gross

Amortized

Unrecognized

Unrecognized

    

Cost

    

Fair Value

    

Gains

    

Losses

(In thousands)

Securities held-to-maturity:

 

  

 

  

 

  

 

  

Municipals

$

50,832

$

52,753

$

2,078

$

157

Total other securities

 

50,832

 

52,753

 

2,078

 

157

FNMA

 

7,899

 

8,698

 

799

 

Total mortgage-backed securities

 

7,899

 

8,698

 

799

 

Allowance for Credit Losses

(843)

Total

$

57,888

$

61,451

$

2,877

$

157

The following table summarizes the Company’s portfolio of securities held-to-maturity at December 31, 2020:

Gross

Gross

Amortized

Unrecognized

Unrecognized

    

Cost

    

Fair Value

    

Gains

    

Losses

(In thousands)

Securities held-to-maturity:

 

  

 

  

 

  

 

  

Municipals

$

50,825

$

54,538

$

3,713

$

Total other securities

 

50,825

 

54,538

 

3,713

 

FNMA

 

7,914

 

8,991

 

1,077

 

Total mortgage-backed securities

 

7,914

 

8,991

 

1,077

 

Allowance for Credit Losses

(907)

Total

$

57,832

$

63,529

$

4,790

$

The following table summarizes the Company’s portfolio of securities available for sale at September 30, 2021:

Gross

Gross

Amortized

Unrealized

Unrealized

    

Cost

    

Fair Value

    

Gains

    

Losses

(In thousands)

Securities available for sale:

U.S Government Agencies

$

5,643

$

5,645

$

5

$

3

Corporate

 

107,421

 

105,956

 

189

 

1,654

Mutual funds

 

12,572

 

12,572

 

 

Collateralized loan obligations

 

87,167

 

86,933

 

5

 

239

Other

 

1,548

 

1,548

 

 

Total other securities

 

214,351

 

212,654

 

199

 

1,896

REMIC and CMO

 

229,499

 

229,890

 

2,372

 

1,981

GNMA

 

11,362

 

11,088

 

38

 

312

FNMA

 

194,973

 

195,030

 

1,815

 

1,758

FHLMC

 

149,751

 

148,137

 

445

 

2,059

Total mortgage-backed securities

 

585,585

 

584,145

 

4,670

 

6,110

Total securities available for sale

$

799,936

$

796,799

$

4,869

$

8,006

The following table summarizes the Company’s portfolio of securities available for sale at December 31, 2020:

Gross

Gross

Amortized

Unrealized

Unrealized

    

Cost

    

Fair Value

    

Gains

    

Losses

(In thousands)

Securities available for sale:

U.S Government Agencies

$

6,452

$

6,453

$

2

$

1

Corporate

 

130,000

 

123,865

 

131

 

6,266

Mutual funds

 

12,703

 

12,703

 

 

Collateralized loan obligations

 

100,561

 

99,198

 

 

1,363

Other

 

1,295

 

1,295

 

 

Total other securities

 

251,011

 

243,514

 

133

 

7,630

REMIC and CMO

 

175,142

 

180,877

 

5,735

 

GNMA

 

13,009

 

13,053

 

66

 

22

FNMA

 

143,154

 

146,169

 

3,046

 

31

FHLMC

 

63,796

 

64,361

 

648

 

83

Total mortgage-backed securities

 

395,101

 

404,460

 

9,495

 

136

Total securities available for sale

$

646,112

$

647,974

$

9,628

$

7,766

Schedule of amortized cost and fair value of the Company's securities classified as held-to-maturity and available for sale

 

Amortized

Securities held-to-maturity:

    

Cost

    

Fair Value

 

(In thousands)

Due after ten years

$

50,832

$

52,753

Total other securities

50,832

52,753

Mortgage-backed securities

7,899

8,698

Total held-to-maturity securities

58,731

61,451

Allowance for Credit Losses

(843)

Total held-to-maturity securities, net of allowance for credit losses

$

57,888

 

$

61,451

Amortized

Securities available for sale:

    

Cost

    

Fair Value

(In thousands)

Due after one year through five years

$

20,000

$

19,932

Due after five years through ten years

 

169,572

 

167,957

Due after ten years

12,207

12,193

Total

 

201,779

 

200,082

Mutual funds

 

12,572

 

12,572

Total other securities

214,351

212,654

Mortgage-backed securities

 

585,585

 

584,145

Total available for sale securities

$

799,936

$

796,799

Schedule of securities with gross unrealized losses and their fair value

At September 30, 2021

Total

Less than 12 months

12 months or more

Unrealized

Unrealized

Unrealized

    

Count

    

Fair Value

    

Losses

    

Fair Value

    

Losses

    

Fair Value

    

Losses

(Dollars in thousands)

Held-to-maturity securities

 

  

 

  

 

  

 

  

 

  

 

  

 

  

Municipals

 

1

$

20,819

$

157

$

20,819

$

157

$

$

Total other securities

 

1

 

20,819

 

157

 

20,819

 

157

 

 

Total securities held-to-maturity

 

1

$

20,819

$

157

$

20,819

$

157

$

$

Available for sale securities

 

  

 

  

 

  

 

  

 

  

 

  

 

  

U.S Government Agencies

 

1

$

4,489

$

3

$

4,489

$

3

$

$

Corporate

 

11

 

80,792

 

1,654

 

51,698

 

748

 

29,094

 

906

Collateralized loan obligations

 

3

 

21,027

 

239

 

 

 

21,027

 

239

Total other securities

 

15

 

106,308

 

1,896

 

56,187

 

751

 

50,121

 

1,145

REMIC and CMO

 

12

 

110,359

 

1,981

 

110,359

 

1,981

 

 

GNMA

 

2

 

10,196

 

312

 

10,196

 

312

 

 

FNMA

 

17

 

136,324

 

1,758

 

136,324

 

1,758

 

 

FHLMC

 

15

 

123,759

 

2,059

 

123,759

 

2,059

 

 

Total mortgage-backed securities

 

46

 

380,638

 

6,110

 

380,638

 

6,110

 

 

Total securities available for sale

 

61

$

486,946

$

8,006

$

436,825

$

6,861

$

50,121

$

1,145

At December 31, 2020

Total

Less than 12 months

12 months or more

Unrealized

Unrealized

Unrealized

    

Count

    

Fair Value

    

Losses

    

Fair Value

    

Losses

    

Fair Value

    

Losses

(Dollars in thousands)

Available for sale securities

 

  

 

  

 

  

 

  

 

  

 

  

 

  

U.S Government Agencies

 

1

$

4,988

$

1

$

4,988

$

1

$

$

Corporate

 

14

 

113,734

 

6,266

 

 

 

113,734

 

6,266

Collateralized loan obligations

 

13

 

99,199

 

1,363

 

7,441

 

52

 

91,758

 

1,311

Total other securities

 

28

 

217,921

 

7,630

 

12,429

 

53

 

205,492

 

7,577

GNMA

 

1

 

10,341

 

22

 

10,341

 

22

 

 

FNMA

 

5

 

32,463

 

31

 

23,864

 

28

 

8,599

 

3

FHLMC

 

3

 

30,095

 

83

 

30,095

 

83

 

 

Total mortgage-backed securities

 

9

 

72,899

 

136

 

64,300

 

133

 

8,599

 

3

Total securities available for sale

 

37

$

290,820

$

7,766

$

76,729

$

186

$

214,091

$

7,580

Schedule of allowance for credit losses for debt securities held-to-maturity

The following table presents the activity in the allowance for credit losses for debt securities held-to-maturity.

Other Securities

For the three months ended

For the nine months ended

September 30, 

September 30, 

    

2021

    

2020

    

2021

    

2020

(In thousands)

Beginning balance

$

844

$

402

$

907

$

340

Provision (benefit)

 

(1)

 

 

(64)

 

62

Allowance for credit losses

$

843

$

402

$

843

$

402

Schedule of gross gains and gross losses realized from the sale of securities available for sale

For the three months ended

For the nine months ended

September 30, 

September 30, 

    

2021

    

2020

    

2021

    

2020

(In thousands)

Gross gains from the sale of securities

$

$

$

123

$

1,476

Gross losses from the sale of securities

 

(10)

 

 

(10)

 

(1,567)

Net gains (losses) from the sale of securities

$

(10)

$

$

113

$

(91)