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Fair Value (Tables)
6 Months Ended
Jun. 30, 2022
Fair Value  
Schedule of assets carried at fair value on a recurring basis

The following tables detail the assets that are carried at fair value on a recurring basis as of the periods shown and indicate the fair value hierarchy of the valuation techniques utilized by the Company to determine the fair value:

Quoted Prices in

Active Markets

Significant

Significant

for Identical

Observable

Unobservable

    

Balance

    

Assets (Level 1)

    

Inputs (Level 2)

    

Inputs (Level 3)

June 30, 2022

Assets:

U.S. Treasury securities

$

38,258

$

38,258

$

$

U.S. government agency mortgage-backed securities-residential

165,206

165,206

U.S. government agency securities

 

23,302

 

 

23,302

 

Municipal securities

 

4,882

 

 

4,737

 

145

Corporate Bonds

13,133

13,133

Other

 

847

 

 

847

 

Total available for sale securities

245,628

38,258

207,225

145

Loan level interest rate swaps

2,505

2,505

Total assets

$

248,133

$

38,258

$

209,730

$

145

Liabilities:

Loan level interest rate swaps

$

2,505

$

$

2,505

$

Total liabilities

$

2,505

$

$

2,505

$

    

December 31, 2021

Assets:

U.S. Treasury securities

$

59,825

$

59,825

$

$

U.S. government agency mortgage-backed securities – residential

176,491

176,491

U.S. government agency securities

 

24,722

 

 

24,722

 

Municipal securities

 

6,851

 

 

6,706

 

145

Corporate Bonds

11,752

11,752

Other

 

642

 

 

642

 

Total available for sale securities

280,283

59,825

220,313

145

Loan level interest rate swaps

644

644

Total assets

$

280,927

$

59,825

$

220,957

$

145

Liabilities:

Loan level interest rate swaps

$

644

$

$

644

$

Total liabilities

$

644

$

$

644

$

Schedule of assets carried at fair value and measured at fair value on a nonrecurring basis

The following tables detail the assets carried at fair value and measured at fair value on a nonrecurring basis as of June 30, 2022 and December 31, 2021 and indicate the fair value hierarchy of the valuation techniques utilized by the Company to determine the fair value:

Quoted Prices in

Active Markets

Significant

Significant

for Identical

Observable

Unobservable

    

Balance

    

Assets (Level 1)

    

Inputs (Level 2)

    

Inputs (Level 3)

June 30, 2022

Impaired loans, with specific reserves

$

196

$

$

$

196

Total

$

196

$

$

$

196

    

December 31, 2021

Impaired loans, with specific reserves

$

321

$

$

$

321

Total

$

321

$

$

$

321

Schedule of additional quantitative information about assets measured at fair value on a nonrecurring basis

The following table presents additional quantitative information about assets measured at fair value on a nonrecurring basis and for which the Company has utilized Level 3 inputs to determine fair value:

Quantitative Information About Level 3 Fair Value Measurements

Fair Value 

Valuation

Unobservable

Range

    

Estimate

    

Techniques

    

Input

    

(Weighted Average)

June 30, 2022

Impaired loans

$

196

 

Appraisal of collateral

(1)  

Liquidation expenses

(3)  

0% to 6%

Appraisal adjustments

(2)  

0% to 20%

December 31, 2021

Impaired loans

$

321

 

Appraisal of collateral

(1)  

Liquidation expenses

(3)  

0% to 6%

Appraisal adjustments

(2)  

0% to 20%

(1)

Fair value is generally through independent appraisals of the underlying collateral that generally include various level 3 inputs which are not identifiable.

(2)

Appraisals may be adjusted by management for qualitative factors such as economic conditions and estimated liquidation expenses. The range of liquidation expenses and other appraisal adjustments are presented as a percent of the appraised value.

(3)

Estimated costs to sell.

Schedule of carrying value and fair values of the financial instruments

As of the following dates, the carrying value and fair values of the Company’s financial instruments were:

June 30, 

December 31, 

2022

2021

    

Carrying Value

    

Fair Value

    

Carrying Value

    

Fair Value

Financial Assets:

  

  

  

  

Cash and due from banks (Level 1)

$

39,922

$

39,922

$

72,091

$

72,091

Available for sale securities (Level 1)

 

38,258

 

38,258

 

59,825

 

59,825

Available for sale securities (Level 2)

 

207,225

 

207,225

 

220,313

 

220,313

Available for sale securities (Level 3)

 

145

 

145

 

145

 

145

Loan level interest rate swaps (Level 2)

2,505

2,505

644

644

FHLB stock (Level 2)

 

1,731

 

1,731

 

1,322

 

1,322

Loans, net (Level 3)

 

927,188

 

911,405

 

854,967

 

855,542

Mortgage servicing rights (Level 3)

 

2,598

 

5,974

 

2,633

 

4,892

Financial Liabilities:

 

  

 

  

 

  

 

  

Deposits (Level 2)

 

1,112,429

 

985,761

 

1,101,999

 

1,083,541

Mortgagors' escrow accounts (Level 2)

 

12,596

 

12,598

 

9,130

 

9,137

FHLB advances (Level 2)

 

23,806

 

23,779

 

18,041

 

18,151

Subordinated debt (Level 2)

 

5,155

 

5,155

 

5,155

 

5,155

Loan level interest rate swaps (Level 2)

2,505

2,505

644

644