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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, 2019
Sep. 30, 2018
Sep. 30, 2019
Sep. 30, 2018
Dec. 31, 2018
Amortized Cost          
Due in one year or less $ 7,360   $ 7,360    
Due after one year through five years 15,872   15,872    
Due after five years through ten years 14,715   14,715    
Due after ten years 22,416   22,416    
Securities due at a single maturity date 60,363   60,363    
Total, Amortized cost 244,819   244,819   $ 319,772
Fair Value          
Due in one year or less 7,355   7,355    
Due after one year through five years 15,880   15,880    
Due after five years through ten years 14,936   14,936    
Due after ten years 23,082   23,082    
Securities due at a single maturity date 61,253   61,253    
Total, Fair value 246,542   246,542   315,369
Sales of securities          
Proceeds from sales of securities available for sale 45,300 $ 2,000 75,081 $ 16,707  
Gain (loss) on sale of available for sale securities, net 577 66 691 (8)  
Gross gains realized on sales of securities 578 72 732 138  
Gross losses realized on sales of securities 1 6 41 146  
Tax provision related to realized net gains or losses 121 $ (1) 145 $ (2)  
Mortgage-backed - residential          
Amortized Cost          
Available-for-sale debt securities, Amortized Cost 94,876   94,876   150,704
Fair Value          
Available-for-sale debt securities, fair value 95,315   95,315   147,249
Mortgage-backed - commercial          
Amortized Cost          
Available-for-sale debt securities, Amortized Cost 53,606   53,606   49,484
Fair Value          
Available-for-sale debt securities, fair value 54,114   54,114   48,563
Asset-backed          
Amortized Cost          
Available-for-sale debt securities, Amortized Cost 35,974   35,974   10,234
Fair Value          
Available-for-sale debt securities, fair value $ 35,860   $ 35,860   $ 10,200