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SECURITIES (Tables)
3 Months Ended
Mar. 31, 2024
Investments, Debt and Equity Securities [Abstract]  
Schedule of Available-for-sale and held-to-maturity securities

Available-for-sale and held-to-maturity securities have been classified in the consolidated balance sheets according to management’s intent on March 31, 2024, and December 31, 2023. The amortized cost of such securities and their approximate fair values were as follows (dollars in thousands):

 

Available-for-sale  March 31, 2024 
   Gross   Gross   Gross   Estimated 
   Amortized   Unrealized   Unrealized   Fair 
(Dollars in thousands)  Cost   Gains   Losses   Value 
Mortgage-backed securities  $74,530   $236   $(5,003)  $69,763 
U.S. Treasuries   3,066        (296)   2,770 
U.S. government agencies   8,571    28    (14)   8,585 
Municipal obligations   22,902        (2,650)   20,252 
Corporate debt   1,000        (144)   856 
Total  $110,069   $264   $(8,107)  $102,226 
                               
Held-to-maturity  March 31, 2024 
   Gross   Gross   Gross   Estimated 
   Amortized   Unrealized   Unrealized   Fair 
(Dollars in thousands)  Cost   Gains   Losses   Value 
Corporate debt  $5,791   $   $(556)  $5,235 
Total  $5,791   $   $(556)  $5,235 
Allowance for Credit Losses  $(146)               
Net Carrying Value of Held-to-maturity securities  $5,645                

                               
Available-for-sale  December 31, 2023 
   Gross   Gross   Gross   Estimated 
   Amortized   Unrealized   Unrealized   Fair 
(Dollars in thousands)  Cost   Gains   Losses   Value 
Mortgage-backed securities  $36,829   $   $(4,362)  $32,467 
U.S. Treasuries   3,069        (277)   2,792 
U.S. government agencies   287        (17)   270 
Municipal obligations   22,921        (2,593)   20,328 
Corporate debt   1,000        (167)   833 
Total  $64,106   $   $(7,416)  $56,690 
                               
Held-to-maturity  December 31, 2023 
   Gross   Gross   Gross   Estimated 
   Amortized   Unrealized   Unrealized   Fair 
(Dollars in thousands)  Cost   Gains   Losses   Value 
Corporate debt  $5,799   $   $(692)  $5,107 
Total  $5,799   $   $(692)  $5,107 
Allowance for Credit Losses  $(115)               
Net Carrying Value of Held-to-maturity securities  $5,684                
Schedule of Securities with unrealized losses

Securities with unrealized losses on March 31, 2024, and December 31, 2023, that have not been recognized in income are as follows (dollars in thousands):

 

   Continued Unrealized
Loss for
Less than 12 Months
   Continued Unrealized
Loss for
12 Months or More
   Total 
Description of securities  Fair
Value
   Unrealized
Loss
   Fair
Value
   Unrealized
Loss
   Fair
Value
   Unrealized
Loss
 
                         
Available-for-sale, March 31, 2024                              
Mortgage-backed securities  $11,953   $(88)  $29,014   $(4,915)  $40,967   $(5,003)
U.S. Treasuries           2,770    (296)   2,770    (296)
U.S. government agencies   454    (1)   246    (13)   700    (14)
Municipal obligations           20,251    (2,650)   20,251    (2,650)
Corporate debt           856    (144)   856    (144)
                               
Total temporarily impaired  $12,407   $(89)  $53,137   $(8,018)  $65,544   $(8,107)
                               
Held to Maturity March 31, 2024                              
Corporate debt  $   $   $5,235   $(556)  $5,235   $(556)
Total temporarily impaired  $   $   $5,235   $(556)  $5,235   $(556)

   Continued Unrealized
Loss for
Less than 12 Months
   Continued Unrealized
Loss for
12 Months or More
   Total 
Description of securities  Fair
Value
   Unrealized
Loss
   Fair
Value
   Unrealized
Loss
   Fair
Value
   Unrealized
Loss
 
                         
Available-for-sale, December 31, 2023                              
Mortgage-backed securities  $   $   $30,462   $(4,362)  $30,462   $(4,362)
U.S. Treasuries           2,792    (277)   2,792    (277)
U.S. government agencies           270    (17)   270    (17)
Municipal obligations           20,328    (2,593)   20,328    (2,593)
Corporate debt           833    (167)   833    (167)
                               
Total temporarily impaired  $   $   $54,685   $(7,416)  $54,685   $(7,416)
                               
Held to Maturity December 31, 2023                              
Corporate debt  $904   $(96)  $4,203   $(596)  $5,107   $(692)
Total temporarily impaired  $904   $(96)  $4,203   $(596)  $5,107   $(692)
Schedule of Information regarding Sale of Debt Securities Available-for-Sale

Certain information concerning the sale of debt securities available-for-sale for the three months ended March 31, 2024, and 2023, was as follows (dollars in thousands):

 

   3/31/2024   3/31/2023 
Proceeds from sale  $7,471   $ 
Gross realized gains  $   $ 
Gross realized losses  $   $ 
Schedule of Amortized Cost and Fair Value of Investment Securities

As of March 31, 2024, the amortized cost and estimated fair value of the debt securities portfolio are shown by contractual maturity dates (dollars in thousands).

 

   Amortized
Cost
   Fair
Value
   Average
Yield
 
             
Available-for-sale               
Due in one year or less  $1,380   $1,369    2.68%
Due from one to five years   12,180    11,107    2.11%
Due from five to ten years   21,979    19,987    3.10%
Due after ten years            
Mortgage-backed securities   74,530    69,763    3.63%
Total  $110,069   $102,226    3.34%
                
   Amortized
Cost
   Fair
Value
   Average
Yield
 
             
Held-to-maturity               
Due in one year or less  $   $     
Due from one to five years            
Due from five to ten years   5,791    5,235    4.30%
Due after ten years            
Total  $5,791   $5,235    4.30%
Schedule of Allowance for Credit Losses for Securities Held-To-Maturity

For the three months ended March 31, 2024  Corporate Bonds 
Allowance for credit losses:     
Beginning balance  $115 
Provision for credit losses   31 
Securities charged -off (recoveries)    
Total ending allowance balance   146