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Investment Securities (Tables)
3 Months Ended
Mar. 31, 2023
Investment Securities  
Schedule of amortized cost, gross unrealized gains and losses and fair values of available for sale securities

The amortized cost, gross unrealized gains and losses and fair values of available for sale securities are as follows:

March 31, 2023

Gross

Gross

Unrealized

Unrealized

    

Amortized Cost

    

Gains

    

Losses

    

Fair Value

U.S. Treasury securities

$

40,148

$

$

(1,839)

$

38,309

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

169,662

(27,133)

142,529

U.S. government agency securities

 

24,783

 

 

(2,010)

 

22,773

Municipal securities(1)

 

5,110

 

 

(271)

 

4,839

Corporate bonds

 

14,700

 

 

(1,793)

 

12,907

Other

 

643

 

172

 

 

815

Total

$

255,046

$

172

$

(33,046)

$

222,172

    

December 31, 2022

Gross

Gross

Unrealized

Unrealized

    

Amortized Cost

    

Gains

    

Losses

    

Fair Value

U.S. Treasury securities

$

40,172

$

$

(2,315)

$

37,857

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

173,926

(29,392)

144,534

U.S. government agency securities

24,785

 

 

(2,336)

 

22,449

Municipal securities(1)

 

5,117

 

 

(331)

 

4,786

Corporate bonds

14,700

 

 

(1,483)

 

13,217

Other

644

 

172

 

 

816

Total

$

259,344

$

172

$

(35,857)

$

223,659

(1)

The issuers of municipal securities are all within New York State.

Schedule of gross unrealized losses and fair value, securities in continuous unrealized loss position

The following tables present the fair value and unrealized losses of the Company’s available for sale securities with gross unrealized losses aggregated by the length of time the individual securities have been in a continuous unrealized loss position:

March 31, 2023

Less Than 12 Months

12 Months or Longer

Total

Unrealized

Unrealized

Unrealized

    

Fair Value

    

Losses

    

Fair Value

    

Losses

    

Fair Value

    

Losses

U.S. Treasury securities

$

$

$

38,309

$

(1,839)

$

38,309

$

(1,839)

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

503

(28)

142,026

(27,105)

142,529

(27,133)

U.S. government agency securities

22,773

(2,010)

22,773

(2,010)

Municipal securities

1,529

(1)

3,180

(270)

4,709

(271)

Corporate bonds

3,693

(557)

9,214

(1,236)

12,907

(1,793)

Total

$

5,725

$

(586)

$

215,502

$

(32,460)

$

221,227

$

(33,046)

    

December 31, 2022

Less Than 12 Months

12 Months or Longer

Total

Unrealized

Unrealized

Unrealized

    

Fair Value

    

Losses

    

Fair Value

    

Losses

    

Fair Value

    

Losses

U.S. Treasury securities

$

$

$

37,857

$

(2,315)

$

37,857

$

(2,315)

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

23,384

(2,711)

121,151

(26,681)

144,535

(29,392)

U.S. government agency securities

9,160

(869)

13,289

(1,467)

22,449

(2,336)

Municipal securities

1,529

(4)

3,127

(327)

4,656

(331)

Corporate bonds

6,873

(627)

5,844

(856)

12,717

(1,483)

Total

$

40,946

$

(4,211)

$

181,268

$

(31,646)

$

222,214

$

(35,857)

Schedule of maturities of debt securities

March 31, 2023

December 31, 2022

    

Amortized Cost

    

Fair Value

    

Amortized Cost

    

Fair Value

Maturity:

Within 1 year

$

33,461

$

32,484

$

16,923

$

16,512

After 1 but within 5 years

 

49,150

 

44,497

 

46,162

 

42,225

After 5 but within 10 years

 

2,130

 

1,847

 

21,689

 

19,572

After 10 years

 

 

 

 

Total Maturities

 

84,741

 

78,828

 

84,774

 

78,309

Mortgage-backed securities

 

169,662

 

142,529

 

173,926

 

144,534

Other

 

643

 

815

 

644

 

816

Total

$

255,046

$

222,172

$

259,344

$

223,659