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NOTE 6 - PLEDGED ASSETS
3 Months Ended
Mar. 31, 2022
Note 6 - Pledged Assets  
NOTE 6 - PLEDGED ASSETS

NOTE 6 - PLEDGED ASSETS

The following securities and loans were pledged to secure public and trust deposits, securities sold under agreements to repurchase, FHLBB advances and credit facilities available.

(in thousands)    March 31, 2022      December 31, 2021  
Securities available-for-sale (at fair value)  $76,334   $75,737 
Loans receivable (at book value)   368,531    378,845 
Total pledged assets  $444,865   $454,582 

 

At March 31, 2022, securities were pledged as follows: $68.16 million to secure public deposits, $8.16 million to secure repurchase agreements and $0.02 million to secure FHLBB advances. In addition to securities, loans receivable were pledged to secure FHLBB advances and credit facilities.