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Investment Securities (Tables)
9 Months Ended
Sep. 30, 2020
Investment Securities [Abstract]  
Schedule Of Investment Securities Classified As Available-for-sale And Held-to-maturity

Available-for-sale

September 30, 2020

Gross

Gross

Amortized

unrealized

unrealized

Fair

cost

gains

losses

value

U.S. Government agency securities

$               46,040 

$                2,477 

$                 (140)

$              48,377 

Asset-backed securities *

239,961 

28 

(1,810)

238,179 

Tax-exempt obligations of states and political subdivisions

4,041 

255 

-

4,296 

Taxable obligations of states and political subdivisions

49,847 

4,315 

-

54,162 

Residential mortgage-backed securities

275,764 

10,043 

(106)

285,701 

Collateralized mortgage obligation securities

165,147 

4,103 

(37)

169,213 

Commercial mortgage-backed securities

370,673 

17,648 

(5,040)

383,281 

Corporate debt securities

85,074 

464 

(3,844)

81,694 

$          1,236,547 

$              39,333 

$            (10,977)

$         1,264,903 

September 30, 2020

Gross

Gross

Amortized

unrealized

unrealized

Fair

* Asset-backed securities as shown above

cost

gains

losses

value

Federally insured student loan securities

$               29,238 

$                      7 

$                (365)

$              28,880 

Collateralized loan obligation securities

210,723 

21 

(1,445)

209,299 

$             239,961 

$                    28 

$             (1,810)

$            238,179 

Available-for-sale

December 31, 2019

Gross

Gross

Amortized

unrealized

unrealized

Fair

cost

gains

losses

value

U.S. Government agency securities

$               52,415 

$                  672 

$                (177)

$              52,910 

Asset-backed securities *

244,751 

132 

(534)

244,349 

Tax-exempt obligations of states and political subdivisions

5,174 

144 

-

5,318 

Taxable obligations of states and political subdivisions

58,258 

1,992 

-

60,250 

Residential mortgage-backed securities

335,068 

2,629 

(1,101)

336,596 

Collateralized mortgage obligation securities

221,109 

1,826 

(208)

222,727 

Commercial mortgage-backed securities

394,852 

3,836 

(146)

398,542 

$          1,311,627 

$             11,231 

$             (2,166)

$         1,320,692 

December 31, 2019

Gross

Gross

Amortized

unrealized

unrealized

Fair

* Asset-backed securities as shown above

cost

gains

losses

value

Federally insured student loan securities

$               33,852 

$                    10 

$                (323)

$              33,539 

Collateralized loan obligation securities

210,899 

122 

(211)

210,810 

$             244,751 

$                  132 

$                (534)

$            244,349 

Held-to-maturity

December 31, 2019

Gross

Gross

Amortized

unrealized

unrealized

Fair

cost

gains

losses

value

Other debt securities - single issuers

$                 9,219 

$                      - 

$             (2,067)

$                7,152 

Other debt securities - pooled

75,168 

682 

-

75,850 

$               84,387 

$                  682 

$             (2,067)

$              83,002 

Amortized Cost And Fair Value Of Investment Securities By Contractual Maturity

Available-for-sale

Amortized

Fair

cost

value

Due before one year

$                 2,186 

$                2,214 

Due after one year through five years

153,599 

162,951 

Due after five years through ten years

224,146 

231,236 

Due after ten years

856,616 

868,502 

$          1,236,547 

$         1,264,903 

Available-for-sale And Held-to-maturity Securities, Continuous Unrealized Loss Position

Available-for-sale

Less than 12 months

12 months or longer

Total

Number of securities

Fair Value

Unrealized losses

Fair Value

Unrealized losses

Fair Value

Unrealized losses

Description of Securities

U.S. Government agency securities

4

$                  538 

$                    (2)

$                6,043 

$                (138)

$                  6,581 

$               (140)

Asset-backed securities

34

168,437 

(1,293)

55,437 

(517)

223,874 

(1,810)

Residential mortgage-backed securities

11

5,101 

(42)

8,042 

(64)

13,143 

(106)

Collateralized mortgage obligation securities

8

7,225 

(36)

3,626 

(1)

10,851 

(37)

Commercial mortgage-backed securities

4

61,677 

(5,023)

10,021 

(17)

71,698 

(5,040)

Corporate debt securities

1

-

-

6,157 

(3,844)

6,157 

(3,844)

Total temporarily impaired

investment securities

62

$           242,978 

$             (6,396)

$              89,326 

$             (4,581)

$              332,304 

$          (10,977)

The table below indicates the length of time individual securities had been in a continuous unrealized loss position at December 31, 2019 (dollars in thousands):

Available-for-sale

Less than 12 months

12 months or longer

Total

Number of securities

Fair Value

Unrealized losses

Fair Value

Unrealized losses

Fair Value

Unrealized losses

Description of Securities

U.S. Government agency securities

5

$              12,214 

$                   (44)

$                3,986 

$                 (133)

$                 16,200 

$               (177)

Asset-backed securities

28

115,909 

(275)

56,427 

(260)

172,336 

(535)

Residential mortgage-backed securities

64

58,682 

(114)

73,311 

(987)

131,993 

(1,101)

Collateralized mortgage obligation securities

22

37,387 

(85)

18,136 

(123)

55,523 

(208)

Commercial mortgage-backed securities

4

35,095 

(129)

3,162 

(16)

38,257 

(145)

Total temporarily impaired

investment securities

123

$            259,287 

$                 (647)

$            155,022 

$              (1,519)

$               414,309 

$            (2,166)

Held-to-maturity

Less than 12 months

12 months or longer

Total

Number of securities

Fair Value

Unrealized losses

Fair Value

Unrealized losses

Fair Value

Unrealized losses

Description of Securities

Corporate and other debt securities:

Single issuers

1

$                      - 

$                      - 

$                7,152 

$             (2,067)

$                  7,152 

$            (2,067)

Total temporarily impaired

investment securities

1

$                      - 

$                      - 

$                7,152 

$             (2,067)

$                  7,152 

$            (2,067)