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Investment Securities
12 Months Ended
Dec. 31, 2020
Investments, Debt and Equity Securities [Abstract]  
Investment Securities INVESTMENT SECURITIES (Dollars In Thousands)
The following table is the schedule of Available-For-Sale Securities at December 31, 2020 and 2019:
Available-For-Sale Securities
U.S. Government & Agency
Obligations
State and
Municipal
Obligations
Mortgage-
Backed
Securities
Corporate
and Other
Debt
Securities
Total
Available-
For-Sale
Securities
December 31, 2020
Available-For-Sale Securities,
at Amortized Cost
$65,002 $528 $290,967 $1,000 $357,497 
Available-For-Sale Securities,
at Fair Value
65,112 528 298,847 800 365,287 
Gross Unrealized Gains184 — 7,934 — 8,118 
Gross Unrealized Losses74 — 54 200 328 
Available-For-Sale Securities,
Pledged as Collateral,
at Fair Value
244,411 
Maturities of Debt Securities,
at Amortized Cost:
Within One Year— 68 12,223 — 12,291 
From 1 - 5 Years50,002 60 273,808 — 323,870 
From 5 - 10 Years15,000 400 4,936 1,000 21,336 
Over 10 Years— — — — — 
Maturities of Debt Securities,
at Fair Value:
Within One Year— 68 12,373 — 12,441 
From 1 - 5 Years50,133 60 281,592 — 331,785 
From 5 - 10 Years14,979 400 4,882 800 21,061 
Over 10 Years— — — — — 
Securities in a Continuous
Loss Position, at Fair Value:
Less than 12 Months$29,926 $— $— $— $29,926 
12 Months or Longer— — 4,882 800 5,682 
Total$29,926 $— $4,882 $800 $35,608 
Number of Securities in a
Continuous Loss Position
— 
Unrealized Losses on
Securities in a Continuous
Loss Position:
Less than 12 Months$74 $— $— $— $74 
12 Months or Longer— — 54 200 254 
Total$74 $— $54 $200 $328 
Disaggregated Details:
US Agency Obligations,
at Amortized Cost
65,002 
US Agency Obligations,
at Fair Value
65,112 
US Government Agency
Securities, at Amortized Cost
$12,696 
US Government Agency
Securities, at Fair Value
12,683 
Government Sponsored Entity
Securities, at Amortized Cost
278,271 
Government Sponsored Entity
Securities, at Fair Value
286,164 
Available-For-Sale Securities
U.S. Government & Agency
Obligations
State and
Municipal
Obligations
Mortgage-
Backed
Securities
Corporate
and Other
Debt
Securities
Mutual Funds
and Equity
Securities
Total
Available-
For-Sale
Securities
December 31, 2019
Available-For-Sale Securities,
at Amortized Cost
$5,002 $764 $349,944 $1,000 $— $356,710 
Available-For-Sale Securities,
at Fair Value
5,054 764 350,716 800 — 357,334 
Gross Unrealized Gains52 — 1,852 — — 1,904 
Gross Unrealized Losses— — 1,080 200 — 1,280 
Available-For-Sale Securities,
Pledged as Collateral,
at Fair Value
164,426 
Securities in a Continuous
Loss Position, at Fair Value:
Less than 12 Months$— $— $52,491 $— $— $52,491 
12 Months or Longer— — 97,164 800 — 97,964 
Total$— $— $149,655 $800 $— $150,455 
Number of Securities in a
Continuous Loss Position
— — 54 — 55 
Unrealized Losses on
Securities in a Continuous
Loss Position:
Less than 12 Months$— $— $317 $— $— $317 
12 Months or Longer— — 763 200 — 963 
Total$— $— $1,080 $200 $— $1,280 
Disaggregated Details:
US Agency Obligations,
at Amortized Cost
5,002 
US Agency Obligations,
at Fair Value
5,054 
US Government Agency
Securities, at Amortized Cost
61,102 
US Government Agency
Securities, at Fair Value
60,616 
Government Sponsored Entity
Securities, at Amortized Cost
288,842 
Government Sponsored Entity
Securities, at Fair Value
290,100 
The following table is the schedule of Held-To-Maturity Securities at December 31, 2020 and 2019:
Held-To-Maturity Securities
State and
Municipal
Obligations
Mortgage-
Backed
Securities
Total
Held-To
Maturity
Securities
December 31, 2020
Held-To-Maturity Securities,
at Amortized Cost
$192,352 $26,053 $218,405 
Held-To-Maturity Securities,
at Fair Value
199,429 27,147 226,576 
Gross Unrealized Gains7,080 1,094 8,174 
Gross Unrealized Losses— 
Held-To-Maturity Securities,
Pledged as Collateral, at Fair Value
211,176 
Maturities of Debt Securities,
at Amortized Cost:
Within One Year15,465 3,503 18,968 
From 1 - 5 Years140,380 22,550 162,930 
From 5 - 10 Years35,503 — 35,503 
Over 10 Years1,004 — 1,004 
Maturities of Debt Securities,
at Fair Value:
Within One Year15,537 3,590 19,127 
From 1 - 5 Years145,436 23,557 168,993 
From 5 - 10 Years37,435 — 37,435 
Over 10 Years1,021 — 1,021 
Securities in a Continuous
Loss Position, at Fair Value:
Less than 12 Months$1,513 $— $1,513 
12 Months or Longer— — — 
Total$1,513 $— $1,513 
Number of Securities in a
Continuous Loss Position
— 
Unrealized Losses on Securities
in a Continuous Loss Position:
Less than 12 Months$$— $
12 Months or Longer— — — 
Total$$— $
Disaggregated Details:
US Government Agency
Securities, at Amortized Cost
9,440 
US Government Agency
Securities, at Fair Value
9,762 
Government Sponsored Entity
Securities, at Amortized Cost
16,613 
Government Sponsored Entity
Securities, at Fair Value
17,385 
Held-To-Maturity Securities
State and
Municipal
Obligations
Mortgage-
Backed
Securities
Total
Held-To
Maturity
Securities
December 31, 2019
Held-To-Maturity Securities,
at Amortized Cost
$208,243 $36,822 $245,065 
Held-To-Maturity Securities,
at Fair Value
212,319 37,299 249,618 
Gross Unrealized Gains4,170 477 4,647 
Gross Unrealized Losses94 — 94 
Held-To-Maturity Securities,
Pledged as Collateral, at Fair Value
237,969 
Securities in a Continuous
Loss Position, at Fair Value:
Less than 12 Months$1,438 $— $1,438 
12 Months or Longer1,994 — 1,994 
Total$3,432 $— $3,432 
Number of Securities in a
Continuous Loss Position
10 — 10 
Unrealized Losses on Securities
in a Continuous Loss Position:
Less than 12 Months$85 $— $85 
12 Months or Longer— 
Total$94 $— $94 
Disaggregated Details:
US Government Agency
Securities, at Amortized Cost
1,703 
US Government Agency
Securities, at Fair Value
1,720 
Government Sponsored Entity
Securities, at Amortized Cost
35,119 
Government Sponsored Entity
Securities, at Fair Value
35,579 

In the tables above, maturities of mortgage-backed securities are included based on their expected average lives. Actual maturities will differ because issuers may have the right to call or prepay obligations with or without prepayment penalties.
Securities in a continuous loss position, in the tables above for December 31, 2020 and December 31, 2019 do not reflect any deterioration of the credit worthiness of the issuing entities.  U.S. agency issues, including mortgage-backed securities, are all rated AAA by Moody's and AA+ by Standard and Poor's.  The state and municipal obligations are general obligations supported by the general taxing authority of the issuer, and in some cases are insured.  Obligations issued by school districts are supported by state aid.  For any non-rated municipal securities, credit analysis is performed in-house based upon data that has been submitted by the issuers to the NY State Comptroller. That analysis shows no deterioration in the credit worthiness of the municipalities.  Subsequent to December 31, 2020, there were no securities downgraded below investment grade.  
Because Arrow expects to recover the entire cost basis according to the contractual terms of each debt security, there is no current intention to sell any of our temporarily impaired securities, and because it is not more likely than not that it would be required to sell the securities prior to recovery, the impairment is considered temporary.
Pledged securities, in the tables above, are primarily used to collateralize state and municipal deposits, as required under New York State law. A small portion of the pledged securities are used to collateralize repurchase agreements and pooled deposits of our trust customers.
The following table is the schedule of Equity Securities at December 31, 2020 and 2019.
Equity Securities
December 31,
20202019
Equity Securities, at Fair Value$1,636 $2,063 

The following is a summary of realized and unrealized gains and losses recognized in net income on equity securities during the years ended December 31, 2020 and 2019 :
December 31,
20202019
Net (Loss) Gain on Equity Securities$(427)$289 
Less: Net gain (loss) recognized during the reporting period on equity securities sold during the period— — 
Unrealized net (loss) gain recognized during the reporting period on equity securities still held at the reporting date$(427)$289 



Schedule of Federal Reserve Bank and Federal Home Loan Bank Stock (at cost)
December 31,
20202019
Federal Reserve Bank Stock$1,150 $1,138 
Federal Home Loan Bank Stock4,199 9,179 
Total Federal Reserve Bank and Federal Home Loan Bank Stock$5,349 $10,317