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SECURITIES - AMORTIZED COST AND FAIR VALUE BY CONTRACTUAL MATURITY (Details) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Sep. 30, 2018
Sep. 30, 2017
Sep. 30, 2018
Sep. 30, 2017
Dec. 31, 2017
Amortized Cost          
Due after one year through five years $ 32,945   $ 32,945    
Due after five years through ten years 23,297   23,297    
Due after ten years 52,027   52,027    
Securities due at a single maturity date 108,269   108,269    
Equity Securities, Cost 270   270   $ 320
Total, Amortized cost 287,289   287,289   319,440
Fair Value          
Due after one year through five years 32,734   32,734    
Due after five years through ten years 22,868   22,868    
Due after ten years 51,214   51,214    
Securities due at a single maturity date 106,816   106,816    
Equity Securities, Fair value 281   281   340
Total, Fair value 278,575   278,575   318,177
Sales of securities          
Proceeds from sales of securities available for sale 2,000 $ 10,500 16,707 $ 14,559  
Gross gains realized on sales of securities 72 60 138 105  
Gross losses realized on sales of securities 6 0 146 2  
Tax provision related to realized net gains or losses (1) $ 20 (2) $ 35  
Mortgage-backed - residential          
Amortized Cost          
Available-for-sale debt securities, Amortized Cost 132,966   132,966   132,664
Fair Value          
Available-for-sale debt securities, fair value 126,706   126,706   130,377
Mortgage-backed - commercial          
Amortized Cost          
Available-for-sale debt securities, Amortized Cost 45,784   45,784   52,267
Fair Value          
Available-for-sale debt securities, fair value $ 44,772   $ 44,772   $ 51,596