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Securities - General Disclosures (Details) - USD ($)
3 Months Ended
Mar. 31, 2020
Mar. 31, 2019
Dec. 31, 2019
Debt Securities      
Equity securities consisting of common stock and money market mutual funds, fair value $ 4,936,000   $ 5,952,000
Unrealized (losses) gains recognized on equity securities (987,000) $ 216,000  
Debt securities available for sale      
Amortized Cost 1,716,223,000   1,627,065,000
Gross Unrealized Gains 50,775,000   22,021,000
Gross Unrealized Losses (1,053,000)   (829,000)
Fair Value 1,765,945,000   1,648,257,000
Debt securities available for sale, Amortized Cost      
Due in one year or less 142,273,000    
Due after one year through five years 275,344,000    
Due after five years through ten years 244,765,000    
Due after ten years 1,053,841,000    
Amortized Cost 1,716,223,000   1,627,065,000
Debt securities available for sale, Fair Value      
Due in one year or less 142,758,000    
Due after one year through five years 282,349,000    
Due after five years through ten years 252,843,000    
Due after ten years 1,087,995,000    
Fair Value 1,765,945,000   1,648,257,000
Realized gains and losses related to sales and calls of securities AFS      
Gross security gains 1,561,000    
Gross security (losses) (5,000) (183,000)  
Net gains (losses) on sales of securities 1,556,000 $ (183,000)  
Debt securities available for sale, Fair Value      
Continuous unrealized losses existing for less than 12 months, gross 71,716,000   122,991,000
Continuous unrealized losses existing for greater than 12 months, gross 1,417,000   53,851,000
Total, gross 73,133,000   176,842,000
Debt securities available for sale, Unrealized Losses      
Continuous unrealized losses existing for less than 12 months, gross (1,039,000)   (448,000)
Continuous unrealized losses existing greater than 12 months, gross (14,000)   (381,000)
Total, gross $ (1,053,000)   (829,000)
Security portfolio evaluated for other-than-temporary impairment 1,143    
Number of securities in unrealized loss position 45    
Securities in unrealized loss position as a percentage of aggregate carrying value of investments 1.42%    
Collateral      
Realized gains and losses related to sales and calls of securities AFS      
Carrying amount of investment securities pledged as collateral $ 647,800,000   704,400,000
U.S. Treasury securities      
Debt securities available for sale      
Amortized Cost 44,545,000   51,472,000
Gross Unrealized Gains 849,000   265,000
Fair Value 45,394,000   51,737,000
Debt securities available for sale, Amortized Cost      
Amortized Cost 44,545,000   51,472,000
Debt securities available for sale, Fair Value      
Fair Value 45,394,000   51,737,000
Obligations of U.S. government corporations and agencies      
Debt securities available for sale      
Amortized Cost 87,787,000   160,364,000
Gross Unrealized Gains 2,829,000   2,684,000
Gross Unrealized Losses (42,000)   (48,000)
Fair Value 90,574,000   163,000,000
Debt securities available for sale, Amortized Cost      
Amortized Cost 87,787,000   160,364,000
Debt securities available for sale, Fair Value      
Fair Value 90,574,000   163,000,000
Debt securities available for sale, Fair Value      
Continuous unrealized losses existing for less than 12 months, gross 6,006,000   6,362,000
Total, gross 6,006,000   6,362,000
Debt securities available for sale, Unrealized Losses      
Continuous unrealized losses existing for less than 12 months, gross (42,000)   (48,000)
Total, gross (42,000)   (48,000)
Obligations of states and political subdivisions      
Debt securities available for sale      
Amortized Cost 278,741,000   262,492,000
Gross Unrealized Gains 6,359,000   5,810,000
Gross Unrealized Losses (353,000)   (11,000)
Fair Value 284,747,000   268,291,000
Debt securities available for sale, Amortized Cost      
Amortized Cost 278,741,000   262,492,000
Debt securities available for sale, Fair Value      
Fair Value 284,747,000   268,291,000
Debt securities available for sale, Fair Value      
Continuous unrealized losses existing for less than 12 months, gross 15,445,000   4,981,000
Continuous unrealized losses existing for greater than 12 months, gross     1,548,000
Total, gross 15,445,000   6,529,000
Debt securities available for sale, Unrealized Losses      
Continuous unrealized losses existing for less than 12 months, gross (353,000)   (11,000)
Total, gross (353,000)   (11,000)
Commercial mortgage-backed securities      
Debt securities available for sale      
Amortized Cost 239,284,000   137,733,000
Gross Unrealized Gains 6,139,000   1,700,000
Gross Unrealized Losses (2,000)   (146,000)
Fair Value 245,421,000   139,287,000
Debt securities available for sale, Amortized Cost      
Amortized Cost 239,284,000   137,733,000
Debt securities available for sale, Fair Value      
Fair Value 245,421,000   139,287,000
Debt securities available for sale, Fair Value      
Continuous unrealized losses existing for less than 12 months, gross 8,522,000   33,322,000
Continuous unrealized losses existing for greater than 12 months, gross     2,044,000
Total, gross 8,522,000   35,366,000
Debt securities available for sale, Unrealized Losses      
Continuous unrealized losses existing for less than 12 months, gross (2,000)   (144,000)
Continuous unrealized losses existing greater than 12 months, gross     (2,000)
Total, gross (2,000)   (146,000)
Residential mortgage-backed securities      
Debt securities available for sale      
Amortized Cost 966,805,000   912,308,000
Gross Unrealized Gains 34,071,000   10,282,000
Gross Unrealized Losses (19,000)   (624,000)
Fair Value 1,000,857,000   921,966,000
Debt securities available for sale, Amortized Cost      
Amortized Cost 966,805,000   912,308,000
Debt securities available for sale, Fair Value      
Fair Value 1,000,857,000   921,966,000
Debt securities available for sale, Fair Value      
Continuous unrealized losses existing for less than 12 months, gross 626,000   78,326,000
Continuous unrealized losses existing for greater than 12 months, gross 1,417,000   50,259,000
Total, gross 2,043,000   128,585,000
Debt securities available for sale, Unrealized Losses      
Continuous unrealized losses existing for less than 12 months, gross (5,000)   (245,000)
Continuous unrealized losses existing greater than 12 months, gross (14,000)   (379,000)
Total, gross (19,000)   (624,000)
Corporate debt securities      
Debt securities available for sale      
Amortized Cost 99,061,000   102,696,000
Gross Unrealized Gains 528,000   1,280,000
Gross Unrealized Losses (637,000)    
Fair Value 98,952,000   103,976,000
Debt securities available for sale, Amortized Cost      
Amortized Cost 99,061,000   102,696,000
Debt securities available for sale, Fair Value      
Fair Value 98,952,000   $ 103,976,000
Debt securities available for sale, Fair Value      
Continuous unrealized losses existing for less than 12 months, gross 41,117,000    
Total, gross 41,117,000    
Debt securities available for sale, Unrealized Losses      
Continuous unrealized losses existing for less than 12 months, gross (637,000)    
Total, gross $ (637,000)