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Investment Securities (Tables)
12 Months Ended
Dec. 31, 2018
Marketable Securities [Abstract]  
Summary of Investment Security Carrying and Fair Value
The carrying values and approximate fair values of investment securities at the periods indicated are presented below:
(In Thousands)
Amortized Cost

Gross Unrealized Gains

Gross Unrealized Losses

Fair Value
December 31, 2018
 


 


 


 

Securities available for sale
 


 


 


 

U.S. Treasury and government sponsored entities

$209,908



$391



$1,439



$208,860

Municipal securities
9,089


17


22


9,084

Corporate bonds
40,139


38


397


39,780

Collateralized loan obligations
13,990

 

 
104

 
13,886

Total securities available for sale

$273,126



$446



$1,962



$271,610

December 31, 2017
 


 


 


 

Securities available for sale
 


 


 


 

U.S. Treasury and government sponsored entities

$250,794



$3



$1,336



$249,461

Municipal securities
14,395


72


46


14,421

Corporate bonds
36,654


478




37,132

Collateralized loan obligations
6,000

 
5

 

 
6,005

Total securities available for sale

$307,843



$558



$1,382



$307,019

Schedule of Gross Unrealized Losses on Investment Securities
Gross unrealized losses on investment securities and the fair value of the related securities, aggregated by investment category and length of time that individual securities have been in a continuous unrealized loss position, at December 31, 2018 and 2017, were as follows:
 
Less Than 12 Months
More Than 12 Months
Total
(In Thousands)
Fair
Value
Unrealized Losses
Fair
Value
Unrealized Losses
Fair
Value
Unrealized Losses
2018
 
 
 
 
 
 
Securities Available for Sale
 
 
 
 
 
 
U.S. Treasury and government sponsored entities

$5,030


$6


$135,807


$1,433


$140,837


$1,439

Corporate bonds
22,285

397



22,285

397

Collateralized loan obligations
13,886

104



13,886

104

Municipal securities


1,673

22

1,673

22

Total

$41,201


$507


$137,480


$1,455


$178,681


$1,962

2017
 
 
 
 
 
 
Securities Available for Sale
 
 
 
 
 
 
U.S. Treasury and government sponsored entities

$116,331


$496


$122,605


$840


$238,936


$1,336

Municipal securities
3,994

17

2,298

29

6,292

46

Total

$120,325


$513


$124,903


$869


$245,228


$1,382

Schedule of Amortized Cost and Fair Value by Contractual Maturity
The amortized cost and fair values of debt securities at December 31, 2018, are distributed by contractual maturity as shown below.  Expected maturities may differ from contractual maturities because issuers may have the right to call or prepay obligations with or without call or prepayment penalties.  
(In  Thousands)
Amortized Cost

Fair Value

Weighted Average Yield
U.S. Treasury and government sponsored entities
 

 

 
Within 1 year

$68,285



$67,798


1.41
%
1-5 years
141,623


141,062


2.36
%
Total

$209,908



$208,860


2.05
%
Corporate bonds
 

 

 
1-5 years

$30,130



$30,103


3.45
%
5-10 years
10,009


9,677


3.51
%
Total

$40,139



$39,780


3.46
%
Collateralized loan obligations
 
 
 
 
 
5-10 years

$3,000

 

$2,990

 
3.86
%
Over 10 years
10,990

 
10,896

 
3.78
%
Total

$13,990

 

$13,886

 
3.80
%
Municipal securities
 

 

 
Within 1 year

$1,867



$1,861


1.64
%
1-5 years
7,222


7,223


2.64
%
Total

$9,089



$9,084


2.43
%
Schedule of Available-For-Sale Securities Proceeds, Gains, and Losses
The proceeds and resulting gains and losses, computed using specific identification, from sales of investment securities for the years ending December 31, 2018, 2017, and 2016, respectively, are as follows: 
(In Thousands)
Proceeds

Gross Gains

Gross Losses
2018
 

 

 
Available for sale securities

$—



$—



$—

2017
 

 

 
Available for sale securities

$25,006



$14



$3

2016
 

 

 
Available for sale securities

$5,785



$12



$23

Summary of Interest Income on Available-For-Sale Investment Securities
A summary of interest income for the years ending December 31, 2018, 2017, and 2016 on available for sale investment securities is as follows:
(In Thousands)
2018

2017
 
2016
U.S. Treasury and government sponsored entities

$3,682



$2,983

 

$2,661

U.S. Agency mortgage-backed securities



 
4

Other
1,532


880

 
633

Total taxable interest income

$5,214



$3,863

 

$3,298

Municipal securities

$267



$367

 

$282

Total tax-exempt interest income

$267



$367

 

$282

Total

$5,481



$4,230

 

$3,580