XML 40 R29.htm IDEA: XBRL DOCUMENT v3.24.2.u1
SECURITIES (Tables)
6 Months Ended
Jun. 30, 2024
SECURITIES  
Schedule of Debt Securities Available for Sale and Held to Maturity

The amortized cost and fair value of debt securities as of June 30, 2024 and December 31, 2023, by contractual maturity, are shown in the tables below. Expected maturities may differ from contractual maturities because the securities may be called or prepaid, with or without prepayment penalties. Securities not due at a single maturity date are shown separately.

(Dollars in thousands)

    

June 30, 2024

Gross

    

Gross

Amortized

Fair

Unrealized

Unrealized

Debt Securities Available for Sale

    

Cost

    

Value

    

Gains

    

Losses

Obligations of U.S. Government sponsored enterprises

 

  

 

  

 

 

  

After one year but within five years

$

15,500

$

14,224

$

$

(1,276)

 

15,500

 

14,224

 

 

(1,276)

Obligations of state and political subdivisions

 

  

 

  

 

  

 

  

After one year but within five years

 

2,522

2,367

(155)

After five years but within ten years

4,355

 

3,521

 

(834)

 

6,877

 

5,888

 

 

(989)

Corporate debt securities

 

  

 

  

 

  

 

  

After one year but within five years

 

4,575

4,116

(459)

After five years but within ten years

 

13,000

10,524

(2,476)

 

17,575

 

14,640

 

 

(2,935)

Mortgage-backed securities

 

33,094

30,517

(2,577)

Total

$

73,046

$

65,269

$

$

(7,777)

(Dollars in thousands)

    

June 30, 2024

Gross

    

Gross

Amortized

Fair

Unrecognized

Unrecognized

Debt Securities Held to Maturity

    

Cost

    

Value

    

Gains

    

Losses

Obligations of U.S. Government sponsored enterprises

 

  

 

  

 

 

  

After one year but within five years

$

24,981

$

24,655

$

$

(38)

After five years but within ten years

5,011

4,973

(325)

29,992

29,628

(363)

Mortgage-backed securities

166,319

159,604

1

(6,716)

Total

$

196,311

$

189,232

$

1

$

(7,079)

(Dollars in thousands)

December 31, 2023

    

    

    

    

    

Gross

    

Gross

Amortized

Fair

Unrealized

Unrealized

Debt Securities Available for Sale

Cost

Value

Gains

Losses

Obligations of U.S. Government sponsored enterprises

 

  

 

  

 

  

 

  

After one year but within five years

$

15,500

$

14,173

$

$

(1,327)

 

15,500

 

14,173

 

 

(1,327)

Obligations of state and political subdivisions

 

  

 

  

 

  

 

  

Within one year

 

500

 

496

 

(4)

After one year but within five years

 

2,514

2,387

(127)

After five years but within ten years

 

4,355

 

3,625

 

(730)

 

7,369

 

6,508

 

 

(861)

Corporate debt securities

 

  

 

  

 

  

 

  

After one year but within five years

 

4,608

4,048

(560)

After five years but within ten years

 

13,000

9,780

(3,220)

 

17,608

 

13,828

 

 

(3,780)

Mortgage-backed securities

 

35,257

33,055

(2,202)

Total

$

75,734

$

67,564

$

$

(8,170)

(Dollars in thousands)

    

December 31, 2023

Gross

    

Gross

Amortized

Fair

Unrecognized

Unrecognized

Debt Securities Held to Maturity

    

Cost

    

Value

    

Gains

    

Losses

Obligations of U.S. Government sponsored enterprises

 

  

 

  

 

 

  

After one year but within five years

$

15,886

$

15,984

$

104

$

(6)

After five years but within ten years

13,634

13,702

85

(17)

29,520

29,686

189

(23)

Mortgage-backed securities

171,124

168,461

1,917

(4,580)

Total

$

200,644

$

198,147

$

2,106

$

(4,603)

Schedule of Gross Unrealized Losses and Fair Value

The following tables summarize available for sale debt securities with unrealized and unrecognized losses at June 30, 2024 and December 31, 2023, aggregated by category and length of time in a continuous unrealized loss position.

Unrealized Losses at June 30, 2024

Less Than 12 Months

12 Months or More

Total

(Dollars in thousands)

    

Number

    

    

    

Number

    

    

    

Number

    

    

of

Fair

Unrealized 

of

Fair

Unrealized 

of

Fair

Unrealized 

Securities

Value

Losses

Securities

Value

Losses

Securities

Value

Losses

Securities available for sale

Obligations of U.S. Government sponsored enterprises

 

$

$

 

3

$

14,224

$

(1,276)

 

3

$

14,224

$

(1,276)

Obligations of state and political subdivisions

 

 

 

7

5,888

(989)

 

7

 

5,888

 

(989)

Corporate debt securities

 

9

14,640

(2,935)

 

9

14,640

(2,935)

Mortgage-backed securities

 

 

33

30,517

(2,577)

 

33

30,517

(2,577)

Total temporarily impaired securities available for sale

 

$

$

 

52

$

65,269

$

(7,777)

 

52

$

65,269

$

(7,777)

Unrealized Losses at December 31, 2023

Less Than 12 Months

12 Months or More

Total

(Dollars in thousands)

    

Number

    

    

    

Number

    

    

    

Number

    

    

of

Fair

Unrealized 

of

Fair

Unrealized 

of

Fair

Unrealized 

Securities

Value

Losses

Securities

Value

Losses

Securities

Value

Losses

Securities available for sale

Obligations of U.S. Government sponsored enterprises

 

$

$

 

3

$

14,173

$

(1,327)

 

3

$

14,173

$

(1,327)

Obligations of state and political subdivisions

 

1

1,456

 

(11)

 

7

5,052

(850)

 

8

 

6,508

 

(861)

Corporate debt securities

 

9

13,828

(3,780)

 

9

13,828

(3,780)

Mortgage-backed securities

 

 

34

33,055

(2,202)

 

34

33,055

(2,202)

Total temporarily impaired securities available for sale

 

1

$

1,456

$

(11)

 

53

$

66,108

$

(8,159)

 

54

$

67,564

$

(8,170)

Schedule of amortized cost of held to maturity debt securities by credit quality indicator

The following table summarizes the amortized cost of held to maturity debt securities aggregated by credit quality indicator based on the latest information available as of June 30, 2024.

(Dollars in thousands)

June 30, 2024

AAA

Total

Securities held to maturity

Obligations of U.S. Government sponsored enterprises

$

29,992

$

29,992

Mortgage-backed securities

166,319

166,319

$

196,311

$

196,311