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INVESTMENT SECURITIES (Tables)
12 Months Ended
Mar. 31, 2023
INVESTMENT SECURITIES  
Schedule of amortized cost and approximate fair value of investment securities

The amortized cost and approximate fair value of investment securities consisted of the following at the dates indicated (in thousands):

    

    

Gross

    

Gross

    

Estimated 

Amortized

Unrealized

Unrealized 

Fair

Cost

 Gains

Losses

Value

March 31, 2023

 

  

 

  

 

  

 

  

Available for sale:

 

 

  

 

  

 

  

Municipal securities

$

47,857

$

16

$

(7,612)

$

40,261

Agency securities

 

91,858

23

(5,974)

85,907

Real estate mortgage investment conduits (1)

 

34,247

(5,370)

28,877

Residential mortgage-backed securities (1)

 

16,512

(1,041)

15,471

Other mortgage-backed securities (2)

 

45,117

4

(4,138)

40,983

Total available for sale

$

235,591

$

43

$

(24,135)

$

211,499

Held to maturity:

 

Municipal securities

$

10,344

$

$

(2,859)

$

7,485

Agency securities

53,941

(5,091)

48,850

Real estate mortgage investment conduits (1)

35,186

(4,769)

30,417

Residential mortgage-backed securities (1)

123,773

(17,542)

106,231

Other mortgage-backed securities (3)

20,599

(3,368)

17,231

Total held to maturity

$

243,843

$

$

(33,629)

$

210,214

    

    

Gross

    

Gross

    

Amortized

Unrealized 

Unrealized

Estimated 

Cost

Gains

 Losses

Fair Value

March 31, 2022

 

  

 

  

 

  

 

  

Available for sale:

 

  

 

  

 

  

 

  

Municipal securities

$

44,104

$

14

$

(4,514)

$

39,604

Agency securities

 

43,848

1

(3,144)

40,705

Real estate mortgage investment conduits (1)

 

35,563

1

(2,847)

32,717

Residential mortgage-backed securities (1)

 

17,368

13

(436)

16,945

Other mortgage-backed securities (2)

 

37,991

28

(2,208)

35,811

Total available for sale

$

178,874

$

57

$

(13,149)

$

165,782

Held to maturity:

 

Municipal securities

$

10,368

$

$

(1,422)

$

8,946

Agency securities

45,277

(2,450)

42,827

Real estate mortgage investment conduits (1)

39,394

(2,457)

36,937

Residential mortgage-backed securities (1)

137,343

(8,883)

128,460

Other mortgage-backed securities (3)

20,718

(1,859)

18,859

Total held to maturity

$

253,100

$

$

(17,071)

$

236,029

(1)   Comprised of FHLMC, Federal National Mortgage Association (“FNMA”) and Ginnie Mae (“GNMA”) issued securities.

(2)   Comprised of U.S. Small Business Administration (“SBA”) issued securities and commercial real estate (“CRE”) secured securities issued by FNMA and FHLMC.

(3)   Comprised of FHLMC and FNMA issued securities.

Schedule of contractual maturities of investment securities

The contractual maturities of investment securities as of March 31, 2023 are as follows (in thousands):

Available for Sale

Held to Maturity

    

    

Estimated

    

    

Estimated

Amortized

Fair 

Amortized

Fair 

Cost

Value

Cost

Value

Due in one year or less

$

12,442

$

12,261

$

4

$

4

Due after one year through five years

 

82,028

 

78,204

 

42,211

 

39,339

Due after five years through ten years

 

54,035

 

47,214

 

29,695

 

24,965

Due after ten years

 

87,086

 

73,820

 

171,933

 

145,906

Total

$

235,591

$

211,499

$

243,843

$

210,214

Schedule of temporarily impaired securities, fair value and unrealized losses

The fair value of temporarily impaired investment securities, the amount of unrealized losses and the length of time these unrealized losses existed are as follows at the dates indicated (in thousands):

Less than 12 months

12 months or longer

Total

    

Estimated

    

    

Estimated

    

    

Estimated

    

Fair

Unrealized

Fair

Unrealized

Fair

Unrealized

March 31, 2023

 Value

Losses

 Value

Losses

 Value

Losses

Available for sale:

 

  

 

  

 

  

 

  

 

  

 

  

Municipal securities

$

6,277

$

(133)

$

32,797

$

(7,479)

$

39,074

$

(7,612)

Agency securities

 

43,451

 

(747)

 

36,646

 

(5,227)

 

80,097

 

(5,974)

Real estate mortgage investment conduits (1)

 

2,693

 

(97)

 

26,184

 

(5,273)

 

28,877

 

(5,370)

Residential mortgage-backed securities (1)

 

3,449

 

(147)

 

12,022

 

(894)

 

15,471

 

(1,041)

Other mortgage-backed securities (2)

 

13,876

 

(376)

 

26,619

 

(3,762)

 

40,495

 

(4,138)

Total available for sale

$

69,746

$

(1,500)

$

134,268

$

(22,635)

$

204,014

$

(24,135)

Held to maturity:

Municipal securities

$

$

$

7,485

$

(2,859)

$

7,485

$

(2,859)

Agency securities

8,413

(240)

40,437

(4,851)

48,850

(5,091)

Real estate mortgage investment conduits (1)

2,580

(191)

27,837

(4,578)

30,417

(4,769)

Residential mortgage-backed securities (1)

2

106,229

(17,542)

106,231

(17,542)

Other mortgage-backed securities (3)

17,231

(3,368)

17,231

(3,368)

Total held to maturity

$

10,995

$

(431)

$

199,219

$

(33,198)

$

210,214

$

(33,629)

March 31, 2022

 

  

 

  

 

  

 

  

 

  

 

  

Available for sale:

 

  

 

  

 

  

 

  

 

  

 

  

Municipal securities

$

32,767

$

(4,293)

$

3,282

$

(221)

$

36,049

$

(4,514)

Agency securities

22,288

 

(1,565)

 

16,414

 

(1,579)

 

38,702

 

(3,144)

Real estate mortgage investment conduits (1)

 

17,334

 

(1,310)

 

15,275

 

(1,537)

 

32,609

 

(2,847)

Residential mortgage-backed securities (1)

 

15,702

 

(436)

 

 

 

15,702

 

(436)

Other mortgage-backed securities (2)

 

32,408

 

(2,194)

 

769

 

(14)

 

33,177

 

(2,208)

Total available for sale

$

120,499

$

(9,798)

$

35,740

$

(3,351)

$

156,239

$

(13,149)

Held to maturity:

Municipal securities

$

5,911

$

(816)

$

3,036

$

(606)

$

8,947

$

(1,422)

Agency securities

35,930

(1,708)

6,897

(742)

42,827

(2,450)

Real estate mortgage investment conduits (1)

26,233

(1,715)

7,735

(742)

33,968

(2,457)

Residential mortgage-backed securities (1)

111,096

(7,160)

17,363

(1,723)

128,459

(8,883)

Other mortgage-backed securities (3)

13,472

(1,153)

5,386

(706)

18,858

(1,859)

Total held to maturity

$

192,642

$

(12,552)

$

40,417

$

(4,519)

$

233,059

$

(17,071)

(1) Comprised of FHLMC, FNMA and GNMA issued securities.

(2) Comprised of SBA and CRE secured securities issued by FHLMC and FNMA.

(3) Comprised of CRE secured securities issued by FHLMC and FNMA.