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Debt Securities Held to Maturity (Tables)
6 Months Ended
Jun. 30, 2023
Investments, Debt and Equity Securities [Abstract]  
Schedule of amortized cost, gross unrealized gains, gross unrealized losses and the fair value of securities held-to-maturity Debt securities held to maturity at June 30, 2023 and December 31, 2022 are summarized as follows:
June 30, 2023
Amortized CostGross Unrealized GainsGross Unrealized (Losses)Allowance for Credit LossesFair Value
U.S. government and agency obligations$49,871 $— $(7,036)$— $42,835 
Mortgage-backed securities and collateralized mortgage obligations365,462 — (44,186)— 321,276 
$415,333 $— $(51,222)$— $364,111 

December 31, 2022
Amortized CostGross Unrealized GainsGross Unrealized (Losses)Allowance for Credit LossesFair Value
(In thousands)
U.S. government and agency obligations$49,871 $— $(7,304)$— $42,567 
Mortgage-backed securities and collateralized mortgage obligations371,652 — (43,828)— 327,824 
$421,523 $— $(51,132)$— $370,391 
Schedule of securities by contractual maturity
The amortized cost and fair value of debt securities available for sale at June 30, 2023, by contractual final maturity, is shown below. Expected maturities may differ from contractual maturities due to prepayment or early call options exercised by the issuer.
June 30, 2023
Amortized CostFair Value
(In thousands)
One year or less$920 $917 
More than one year to five years54,891 50,578 
More than five years to ten years63,862 49,145 
$119,673 $100,640 
Mortgage-backed securities and collateralized mortgage obligations1,054,116 896,819 
$1,173,789 $997,459 
The amortized cost and fair value of debt securities held to maturity at June 30, 2023, by contractual final maturity, is shown below. Expected maturities may differ from contractual maturities due to prepayment or early call options exercised by the issuer.
June 30, 2023
Amortized CostFair Value
(In thousands)
More than one year to five years$19,875 $18,385 
More than five years to ten years19,996 16,827 
More than ten years10,000 7,623 
49,871 42,835 
Mortgage-backed securities and collateralized mortgage obligations365,462 321,276 
$415,333 $364,111 
Schedule of held-to-maturity securities reported in a continuous unrealized loss position
The following tables summarize the fair value and gross unrealized losses of those securities that reported an unrealized loss at June 30, 2023 and December 31, 2022 and if the unrealized loss position was continuous for the twelve months prior to those respective dates:
June 30, 2023
Less Than 12 Months12 Months or LongerTotal
Fair ValueGross Unrealized (Losses)Fair ValueGross Unrealized (Losses)Fair ValueGross Unrealized (Losses)
(In thousands)
U.S. government and agency obligations$4,918 $(82)$37,917 $(6,954)$42,835 $(7,036)
Mortgage-backed securities and collateralized mortgage obligations13,972 (1,148)307,304 (43,038)321,276 (44,186)
$18,890 $(1,230)$345,221 $(49,992)$364,111 $(51,222)


December 31, 2022
Less Than 12 Months12 Months or LongerTotal
Fair ValueGross Unrealized (Losses)Fair ValueGross Unrealized (Losses)Fair ValueGross Unrealized (Losses)
(In thousands)
U.S. government and agency obligations$4,956 $(44)$37,611 $(7,260)$42,567 $(7,304)
Mortgage-backed securities and collateralized mortgage obligations275,107 (33,000)52,717 (10,828)327,824 (43,828)
$280,063 $(33,044)$90,328 $(18,088)$370,391 $(51,132)