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Securities - General Disclosures (Details) - USD ($)
3 Months Ended 6 Months Ended
Jun. 30, 2020
Jun. 30, 2019
Jun. 30, 2020
Jun. 30, 2019
Dec. 31, 2019
Debt Securities          
Equity securities consisting of common stock and money market mutual funds, fair value $ 5,126,000   $ 5,126,000   $ 5,952,000
Unrealized gains (losses) recognized on equity securities 190,000 $ (1,016,000) (797,000) $ (800,000)  
Debt securities available for sale          
Amortized Cost 1,641,429,000   1,641,429,000   1,627,065,000
Gross Unrealized Gains 55,695,000   55,695,000   22,021,000
Gross Unrealized Losses (258,000)   (258,000)   (829,000)
Fair Value 1,696,866,000   1,696,866,000   1,648,257,000
Debt securities available for sale, Amortized Cost          
Due in one year or less 132,192,000   132,192,000    
Due after one year through five years 241,337,000   241,337,000    
Due after five years through ten years 241,496,000   241,496,000    
Due after ten years 1,026,404,000   1,026,404,000    
Amortized Cost 1,641,429,000   1,641,429,000   1,627,065,000
Debt securities available for sale, Fair Value          
Due in one year or less 133,749,000   133,749,000    
Due after one year through five years 250,413,000   250,413,000    
Due after five years through ten years 252,566,000   252,566,000    
Due after ten years 1,060,138,000   1,060,138,000    
Fair Value 1,696,866,000   1,696,866,000   1,648,257,000
Realized gains and losses related to sales and calls of securities AFS          
Gross security gains 146,000 391,000 1,707,000 391,000  
Gross security (losses) (3,000) (400,000) (8,000) (583,000)  
Net gains (losses) on sales of securities 143,000 $ (9,000) 1,699,000 $ (192,000)  
Debt securities available for sale, Fair Value          
Continuous unrealized losses existing for less than 12 months, gross 57,095,000   57,095,000   122,991,000
Continuous unrealized losses existing for greater than 12 months, gross 937,000   937,000   53,851,000
Total, gross 58,032,000   58,032,000   176,842,000
Debt securities available for sale, Unrealized Losses          
Continuous unrealized losses existing for less than 12 months, gross (254,000)   (254,000)   (448,000)
Continuous unrealized losses existing greater than 12 months, gross (4,000)   (4,000)   (381,000)
Total, gross $ (258,000)   $ (258,000)   (829,000)
Security portfolio evaluated for other-than-temporary impairment 1,106   1,106    
Number of securities in unrealized loss position 24   24    
Securities in unrealized loss position as a percentage of aggregate carrying value of investments 0.45%   0.45%    
Collateral          
Realized gains and losses related to sales and calls of securities AFS          
Carrying amount of investment securities pledged as collateral $ 638,100,000   $ 638,100,000   704,400,000
U.S. Treasury securities          
Debt securities available for sale          
Amortized Cost 32,597,000   32,597,000   51,472,000
Gross Unrealized Gains 639,000   639,000   265,000
Fair Value 33,236,000   33,236,000   51,737,000
Debt securities available for sale, Amortized Cost          
Amortized Cost 32,597,000   32,597,000   51,472,000
Debt securities available for sale, Fair Value          
Fair Value 33,236,000   33,236,000   51,737,000
Obligations of U.S. government corporations and agencies          
Debt securities available for sale          
Amortized Cost 77,349,000   77,349,000   160,364,000
Gross Unrealized Gains 2,752,000   2,752,000   2,684,000
Gross Unrealized Losses (57,000)   (57,000)   (48,000)
Fair Value 80,044,000   80,044,000   163,000,000
Debt securities available for sale, Amortized Cost          
Amortized Cost 77,349,000   77,349,000   160,364,000
Debt securities available for sale, Fair Value          
Fair Value 80,044,000   80,044,000   163,000,000
Debt securities available for sale, Fair Value          
Continuous unrealized losses existing for less than 12 months, gross 5,648,000   5,648,000   6,362,000
Total, gross 5,648,000   5,648,000   6,362,000
Debt securities available for sale, Unrealized Losses          
Continuous unrealized losses existing for less than 12 months, gross (57,000)   (57,000)   (48,000)
Total, gross (57,000)   (57,000)   (48,000)
Obligations of states and political subdivisions          
Debt securities available for sale          
Amortized Cost 272,885,000   272,885,000   262,492,000
Gross Unrealized Gains 10,047,000   10,047,000   5,810,000
Gross Unrealized Losses (38,000)   (38,000)   (11,000)
Fair Value 282,894,000   282,894,000   268,291,000
Debt securities available for sale, Amortized Cost          
Amortized Cost 272,885,000   272,885,000   262,492,000
Debt securities available for sale, Fair Value          
Fair Value 282,894,000   282,894,000   268,291,000
Debt securities available for sale, Fair Value          
Continuous unrealized losses existing for less than 12 months, gross 6,432,000   6,432,000   4,981,000
Continuous unrealized losses existing for greater than 12 months, gross         1,548,000
Total, gross 6,432,000   6,432,000   6,529,000
Debt securities available for sale, Unrealized Losses          
Continuous unrealized losses existing for less than 12 months, gross (38,000)   (38,000)   (11,000)
Total, gross (38,000)   (38,000)   (11,000)
Commercial mortgage-backed securities          
Debt securities available for sale          
Amortized Cost 230,352,000   230,352,000   137,733,000
Gross Unrealized Gains 10,956,000   10,956,000   1,700,000
Gross Unrealized Losses (3,000)   (3,000)   (146,000)
Fair Value 241,305,000   241,305,000   139,287,000
Debt securities available for sale, Amortized Cost          
Amortized Cost 230,352,000   230,352,000   137,733,000
Debt securities available for sale, Fair Value          
Fair Value 241,305,000   241,305,000   139,287,000
Debt securities available for sale, Fair Value          
Continuous unrealized losses existing for less than 12 months, gross 4,963,000   4,963,000   33,322,000
Continuous unrealized losses existing for greater than 12 months, gross         2,044,000
Total, gross 4,963,000   4,963,000   35,366,000
Debt securities available for sale, Unrealized Losses          
Continuous unrealized losses existing for less than 12 months, gross (3,000)   (3,000)   (144,000)
Continuous unrealized losses existing greater than 12 months, gross         (2,000)
Total, gross (3,000)   (3,000)   (146,000)
Residential mortgage-backed securities          
Debt securities available for sale          
Amortized Cost 940,842,000   940,842,000   912,308,000
Gross Unrealized Gains 29,475,000   29,475,000   10,282,000
Gross Unrealized Losses (124,000)   (124,000)   (624,000)
Fair Value 970,193,000   970,193,000   921,966,000
Debt securities available for sale, Amortized Cost          
Amortized Cost 940,842,000   940,842,000   912,308,000
Debt securities available for sale, Fair Value          
Fair Value 970,193,000   970,193,000   921,966,000
Debt securities available for sale, Fair Value          
Continuous unrealized losses existing for less than 12 months, gross 35,830,000   35,830,000   78,326,000
Continuous unrealized losses existing for greater than 12 months, gross 937,000   937,000   50,259,000
Total, gross 36,767,000   36,767,000   128,585,000
Debt securities available for sale, Unrealized Losses          
Continuous unrealized losses existing for less than 12 months, gross (120,000)   (120,000)   (245,000)
Continuous unrealized losses existing greater than 12 months, gross (4,000)   (4,000)   (379,000)
Total, gross (124,000)   (124,000)   (624,000)
Corporate debt securities          
Debt securities available for sale          
Amortized Cost 87,404,000   87,404,000   102,696,000
Gross Unrealized Gains 1,826,000   1,826,000   1,280,000
Gross Unrealized Losses (36,000)   (36,000)    
Fair Value 89,194,000   89,194,000   103,976,000
Debt securities available for sale, Amortized Cost          
Amortized Cost 87,404,000   87,404,000   102,696,000
Debt securities available for sale, Fair Value          
Fair Value 89,194,000   89,194,000   $ 103,976,000
Debt securities available for sale, Fair Value          
Continuous unrealized losses existing for less than 12 months, gross 4,222,000   4,222,000    
Total, gross 4,222,000   4,222,000    
Debt securities available for sale, Unrealized Losses          
Continuous unrealized losses existing for less than 12 months, gross (36,000)   (36,000)    
Total, gross $ (36,000)   $ (36,000)