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MARKETABLE SECURITIES - Schedule of Amortized Cost and Fair Value of Securities Available for Sale and Held to Maturity Securities (Details) - USD ($)
$ in Thousands
Jun. 30, 2020
Dec. 31, 2019
Available for sale:    
Available-for-sale debt securities, amortized cost basis $ 359,126 $ 210,212
Gross Unrealized Gain 17,259 2,864
Gross Unrealized Loss 4 360
Estimated Fair Value 376,381 212,716
Held to maturity:    
Amortized Cost 0 155,458
Gross Unrealized Gains   5,018
Gross Unrealized Losses   16
Estimated Fair Value   160,460
Corporate bonds    
Available for sale:    
Available-for-sale debt securities, amortized cost basis 18,630 19,667
Gross Unrealized Gain 1,306 592
Gross Unrealized Loss   0
Estimated Fair Value 19,936 20,259
Mortgage-backed securities    
Available for sale:    
Available-for-sale debt securities, amortized cost basis 89,123 83,967
Gross Unrealized Gain 2,699 550
Gross Unrealized Loss 1 335
Estimated Fair Value 91,821 84,182
Held to maturity:    
Amortized Cost   14,365
Gross Unrealized Gains   198
Gross Unrealized Losses   13
Estimated Fair Value   14,550
Collateralized mortgage obligations    
Available for sale:    
Available-for-sale debt securities, amortized cost basis 80,556 89,798
Gross Unrealized Gain 2,876 1,146
Gross Unrealized Loss 3 17
Estimated Fair Value 83,429 90,927
Held to maturity:    
Amortized Cost   2,677
Gross Unrealized Gains   110
Gross Unrealized Losses   0
Estimated Fair Value   2,787
Municipal securities    
Available for sale:    
Available-for-sale debt securities, amortized cost basis 170,817 16,780
Gross Unrealized Gain 10,378 576
Gross Unrealized Loss   8
Estimated Fair Value $ 181,195 17,348
Held to maturity:    
Amortized Cost   138,416
Gross Unrealized Gains   4,710
Gross Unrealized Losses   3
Estimated Fair Value   $ 143,123