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SECURITIES (Tables)
12 Months Ended
Dec. 31, 2024
SECURITIES  
Schedule of amortized cost and fair value of investments classified as available-for-sale

The fair value of securities available-for-sale and related gross unrealized gains and losses recognized in accumulated other comprehensive income were as follows:

    

December 31, 2024

Amortized

Unrealized

Unrealized

(Dollar amounts in thousands)

Cost

    

Gains

    

Losses

    

Fair Value

U.S. Government agencies

$

90,649

$

3

$

(11,670)

$

78,982

Mortgage Backed Securities - residential

630,556

15

(89,251)

541,320

Mortgage Backed Securities - commercial

 

14,182

 

2

 

(523)

 

13,661

Collateralized mortgage obligations

 

190,552

 

29

 

(27,555)

 

163,026

State and municipal obligations

 

394,696

 

171

 

(34,539)

 

360,328

Municipal taxable

 

41,162

 

11

 

(5,396)

 

35,777

Collateralized debt obligations

 

 

2,896

 

 

2,896

TOTAL

$

1,361,797

$

3,127

$

(168,934)

$

1,195,990

    

December 31, 2023

Amortized

Unrealized

Unrealized

(Dollar amounts in thousands)

Cost

    

Gains

    

Losses

    

Fair Value

U.S. Government agencies

$

102,978

$

4

$

(11,542)

$

91,440

Mortgage Backed Securities-residential

653,507

53

(83,675)

569,885

Mortgage Backed Securities-commercial

 

7,919

 

 

(436)

 

7,483

Collateralized mortgage obligations

 

209,398

 

6

 

(28,575)

 

180,829

State and municipal obligations

 

397,413

 

1,407

 

(28,009)

 

370,811

Municipal taxable

 

39,872

 

12

 

(5,599)

 

34,285

U.S. Treasury

 

1,411

 

 

(9)

 

1,402

Collateralized debt obligations

 

 

3,002

 

 

3,002

TOTAL

$

1,412,498

$

4,484

$

(157,845)

$

1,259,137

Schedule of gross gain and loss realized

Below is a summary of the gross gains and losses realized by the Corporation on investment sales and calls during the years ended December 31, 2024, 2023 and 2022, respectively.

(Dollar amounts in thousands)

    

2024

    

2023

    

2022

Proceeds

$

11,419

$

330

$

1,565

Gross gains

 

133

 

1

 

6

Gross losses

 

(30)

 

(2)

 

(3)

Schedule of contractual maturities of debt securities

Contractual maturities of debt securities at year-end 2024 were as follows. Securities not due at a single maturity or with no maturity date, primarily mortgage-backed and collateralized mortgage obligations, are shown separately.

    

Available-for-Sale

Amortized

Fair

(Dollar amounts in thousands)

    

Cost

    

Value

Due in one year or less

$

8,256

$

8,135

Due after one but within five years

45,469

44,008

Due after five but within ten years

 

121,980

 

117,935

Due after ten years

 

350,802

 

307,905

 

526,507

 

477,983

Mortgage-backed securities and collateralized mortgage obligations

 

835,290

 

718,007

TOTAL

$

1,361,797

$

1,195,990

Schedule of gross unrealized losses and fair value, aggregated by investment category and length of time that individual securities have been in continuous unrealized loss position

The following tables show the securities’ gross unrealized losses and fair value, aggregated by investment category and length of time that individual securities have been in continuous unrealized loss position, at December 31, 2024 and 2023.

    

December 31, 2024

Less Than 12 Months

    

More Than 12 Months

    

Total

Unrealized

Unrealized

Unrealized

(Dollar amounts in thousands)

Fair Value

    

Losses

    

Fair Value

    

Losses

    

Fair Value

    

Losses

U.S. Government agencies

$

3,696

$

(107)

$

74,636

$

(11,563)

$

78,332

$

(11,670)

Mortgage Backed Securities - Residential

 

51,996

(1,113)

481,270

(88,138)

533,266

(89,251)

Mortgage Backed Securities - Commercial

6,937

(161)

5,388

(362)

12,325

(523)

Collateralized mortgage obligations

 

85

 

 

158,244

 

(27,555)

 

158,329

 

(27,555)

State and municipal obligations

 

89,321

(953)

232,247

(33,586)

321,568

(34,539)

Municipal taxable

 

1,587

 

(20)

 

31,918

 

(5,376)

 

33,505

 

(5,396)

U.S. Treasury

 

 

 

 

 

 

Total temporarily impaired securities

$

153,622

$

(2,354)

$

983,703

$

(166,580)

$

1,137,325

$

(168,934)

    

December 31, 2023

Less Than 12 Months

    

More Than 12 Months

    

Total

Unrealized

Unrealized

Unrealized

(Dollar amounts in thousands)

    

Fair Value

    

Losses

    

Fair Value

    

Losses

    

Fair Value

    

Losses

U.S. Government agencies

$

3,757

$

(73)

$

87,291

$

(11,469)

$

91,048

$

(11,542)

Mortgage Backed Securities - Residential

3,810

(41)

556,414

(83,634)

 

560,224

 

(83,675)

Mortgage Backed Securities - Commercial

7,483

(436)

7,483

(436)

Collateralized mortgage obligations

 

12,981

 

(303)

 

164,871

 

(28,272)

 

177,852

 

(28,575)

State and municipal obligations

45,154

(319)

212,022

(27,690)

 

257,176

 

(28,009)

Municipal taxable

 

 

 

31,958

 

(5,599)

 

31,958

 

(5,599)

U.S. Treasury

 

1,402

 

(9)

 

 

 

1,402

 

(9)

Total temporarily impaired securities

$

67,104

$

(745)

$

1,060,039

$

(157,100)

$

1,127,143

$

(157,845)

Schedule of credit losses recognized in earnings

The table below presents a rollforward of the credit losses recognized in earnings for the years presented:

Three Months Ended December 31, 

Year Ended December 31, 

(Dollar amounts in thousands)

    

2024

    

2023

2024

    

2023

Beginning balance

$

2,974

$

2,974

$

2,974

$

2,974

Reductions for securities called during the period

 

 

 

Ending balance

$

2,974

$

2,974

$

2,974

$

2,974