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INVESTMENT SECURITIES (Table)
6 Months Ended
Jun. 30, 2019
Investment Securities Table Abstract  
Schedule of securities' amortized cost and estimated fair value

The amortized cost and estimated fair value of securities (all available-for-sale (“AFS”)) are as follows:

 

            Gross   Gross   Approximate
      Amortized     Unrealized   Unrealized   Fair
(Dollars are in thousands)     Cost     Gains   Losses   Value
June 30, 2019                    
U.S. Government Agencies $   17,738 $   87 $ (108) $ 17,717
Taxable municipals     4,409     52   -   4,461
Corporate bonds     5,415     104   -   5,519
Mortgage backed securities     28,911     67   (277)   28,701
Total Securities AFS $   56,473 $   310 $ (385) $ 56,398
December 31, 2018                    
U.S. Government Agencies $   19,755 $   26 $ (392) $ 19,389
Taxable municipals     4,428     -   (115)   4,313
Corporate bonds     5,422     47   (149)   5,320
Mortgage backed securities     31,366     11   (992)   30,385
Total Securities AFS $   60,971 $   84 $ (1,648) $ 59,407
Schedule of fair value and gross unrealized losses on investment securities in a continuous unrealized loss position

This information is aggregated by the length of time that individual securities have been in a continuous unrealized loss position as of June 30, 2019 and December 31, 2018.

 

    Less than 12 Months   12 Months or More     Total
    Fair   Unrealized   Fair   Unrealized   Fair   Unrealized
(Dollars are in thousands)   Value   Losses   Value   Losses   Value   Losses
June 30, 2019                        
U.S. Government Agencies $ 1,267 $ (1) $ 9,508 $ (107) $ 10,775 $ (108)
Taxable municipals   -   -   518   -   518   -
Corporate bonds   -   -   -   -   -   -
Mtg. backed securities   2   -   24,429   (277)   24,431   (277)
Total Securities AFS $ 1,269 $ (1) $ 34,455 $ (384) $ 35,724 $ (385)
December 31, 2018                        
U.S. Government Agencies $ 5,013 $ (68) $ 11,585 $ (324) $ 16,599 $ (392)
Taxable municipals   -   -   4,049   (115)   4,049   (115)
Corporate bonds   1,713   (43)   1,423   (106)   3,136   (149)
Mtg. backed securities   165   (2)   29,245   (990)   29,410   (992)
Total Securities AFS $ 6,891 $ (113) $ 46,302 $ (1,535) $ 53,194 $ (1,648)
Schedule of amortized cost and fair value of investment securities' contractual maturity

Expected maturities will differ from contractual maturities because borrowers may have the right to call or prepay obligations with or without call or prepayment penalties.

 

                Weighted  
(Dollars are in thousands)   Amortized   Fair     Average  
Securities Available-for-Sale   Cost   Value     Yield  
Due in one year or less $ 2 $ 2 - %
Due after one year through five years   5,643   5,685 2.60%
Due after five years through ten years   14,326   14,402 3.39%
Due after ten years   36,502   36,309   2.45%
Total $ 56,473 $ 56,398 2.70%