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SECURITIES - Schedule of Amortized Cost and Fair Value by Contractual Maturity (Details) - USD ($)
$ in Thousands
Mar. 31, 2024
Dec. 31, 2023
Amortized Cost    
Due in less than one year $ 2,478 $ 482
Due from one year to five years 10,569 11,671
Due after five to ten years 21,693 22,537
Due after ten years 52,852 54,326
Mortgage-backed securities 101,140 101,306
Amortized Cost 188,732 190,322
Fair Value    
Due in less than one year 2,417 476
Due from one year to five years 9,640 10,855
Due after five to ten years 19,524 20,439
Due after ten years 48,720 50,285
Mortgage-backed securities 97,078 96,945
Total securities available for sale 177,379 179,000
Amortized Cost    
Due in less than one year 0 0
Due from one year to five years 0 0
Due after five to ten years 10,279 7,743
Due after ten years 9,348 11,889
Mortgage-backed securities 0 0
Amortized Cost 19,627 19,632
Securities Held to Maturity    
Due in less than one year 0 0
Due from one year to five years 0 0
Due after five to ten years 8,500 6,483
Due after ten years 7,598 9,750
Mortgage-backed securities 0 0
Securities held to maturity, at amortized cost ($16,098 at fair value, $0 allowance for credit losses at March 31, 2024; $16,233 at fair value, $0 allowance for credit losses at December 31, 2023) 16,098 16,233
Total securities    
Amortized Cost 208,359 209,954
Fair Value $ 193,477 $ 195,233