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Securities (Tables)
6 Months Ended
Jun. 30, 2024
Securities  
Schedule of amortized cost and estimated fair value of securities

Gross

Gross

Allowance

Estimated

Amortized

Unrealized

Unrealized

for Credit

Fair

June 30, 2024

    

Cost

    

Gains

    

(Losses)

Losses

    

Value

(Dollars in thousands)

Securities available-for-sale:

U.S. Treasury

$

222,260

$

$

(3,578)

$

$

218,682

Agency mortgage-backed securities

59,176

(4,815)

54,361

Total

$

281,436

$

$

(8,393)

$

$

273,043

Gross

Gross

Estimated

Allowance

Amortized

Unrecognized

Unrecognized

Fair

for Credit

June 30, 2024

    

Cost

    

Gains

    

(Losses)

Value

    

Losses

(Dollars in thousands)

Securities held-to-maturity:

Agency mortgage-backed securities

$

589,386

$

17

$

(92,075)

$

497,328

$

Municipals - exempt from Federal tax

31,804

(1,694)

30,110

(12)

Total

$

621,190

$

17

$

(93,769)

$

527,438

$

(12)

Gross

Gross

Allowance

Estimated

Amortized

Unrealized

Unrealized

for Credit

Fair

December 31, 2023

    

Cost

    

Gains

    

(Losses)

Losses

    

Value

(Dollars in thousands)

Securities available-for-sale:

U.S. Treasury

$

387,990

$

$

(5,621)

$

$

382,369

Agency mortgage-backed securities

64,580

(4,313)

60,267

Total

$

452,570

$

$

(9,934)

$

$

442,636

Gross

Gross

Estimated

Allowance

Amortized

Unrecognized

Unrecognized

Fair

for Credit

December 31, 2023

    

Cost

    

Gains

    

(Losses)

Value

    

Losses

(Dollars in thousands)

Securities held-to-maturity:

Agency mortgage-backed securities

$

618,374

$

282

$

(86,011)

$

532,645

$

Municipals - exempt from Federal tax

32,203

3

(724)

31,482

(12)

Total

$

650,577

$

285

$

(86,735)

$

564,127

$

(12)

Schedule of securities with unrealized losses

Less Than 12 Months

12 Months or More

Total

Fair

Unrealized

Fair

Unrealized

Fair

Unrealized

June 30, 2024

    

Value

    

(Losses)

    

Value

    

(Losses)

    

Value

    

(Losses)

(Dollars in thousands)

Securities available-for-sale:

U.S. Treasury

$

$

$

218,682

$

(3,578)

$

218,682

$

(3,578)

Agency mortgage-backed securities

54,361

(4,815)

54,361

(4,815)

Total

$

$

$

273,043

$

(8,393)

$

273,043

$

(8,393)

Securities held-to-maturity:

Agency mortgage-backed securities

$

5,184

$

(37)

$

485,672

$

(92,038)

$

490,856

$

(92,075)

Municipals — exempt from Federal tax

8,561

(218)

20,784

(1,476)

29,345

(1,694)

Total

$

13,745

$

(255)

$

506,456

$

(93,514)

$

520,201

$

(93,769)

Less Than 12 Months

12 Months or More

Total

Fair

Unrealized

Fair

Unrealized

Fair

Unrealized

December 31, 2023

    

Value

    

(Losses)

    

Value

    

(Losses)

    

Value

    

(Losses)

(Dollars in thousands)

Securities available-for-sale:

U.S. Treasury

$

4,926

$

(40)

$

377,443

$

(5,581)

$

382,369

$

(5,621)

Agency mortgage-backed securities

60,267

(4,313)

60,267

(4,313)

Total

$

4,926

$

(40)

$

437,710

$

(9,894)

$

442,636

$

(9,934)

Securities held-to-maturity:

Agency mortgage-backed securities

$

$

$

520,615

$

(86,011)

$

520,615

$

(86,011)

Municipals — exempt from Federal tax

9,790

(176)

13,151

(548)

22,941

(724)

Total

$

9,790

$

(176)

$

533,766

$

(86,559)

$

543,556

$

(86,735)

Schedule of amortized cost and estimated fair values of securities, by contractual maturity

Available-for-sale

    

Amortized

    

Estimated

Cost

Fair Value

(Dollars in thousands)

Due three months or less

$

37,415

$

37,324

Due after three months through one year

159,800

156,744

Due after one through five years

25,045

24,614

Agency mortgage-backed securities

59,176

54,361

Total

$

281,436

$

273,043

Held-to-maturity

    

Amortized

    

Estimated

Cost (1)

Fair Value

(Dollars in thousands)

Due after three months through one year

$

665

$

663

Due after one through five years

8,869

8,569

Due after five through ten years

22,270

20,878

Agency mortgage-backed securities

 

589,386

 

497,328

Total

$

621,190

$

527,438

(1)Gross of the allowance for credit losses of ($12,000) at June 30, 2024.
Schedule of roll-forward by major security type of the allowance for credit losses on debt securities held-to-maturity

Municipals

(Dollars in thousands)

Beginning balance January 1, 2024

$

12

Provision for credit losses

Ending balance June 30, 2024

$

12