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Investment Securities - Held-to-Maturity (Details)
$ in Thousands
Sep. 30, 2024
USD ($)
security
Dec. 31, 2023
USD ($)
security
Sep. 30, 2023
USD ($)
security
Schedule of Held-to-maturity Securities [Line Items]      
Held-To-Maturity Securities, at Amortized Cost $ 103,337 $ 131,395 $ 140,577
Gross Unrealized Gains     0
Gross Unrealized Losses (1,408) (2,558) (5,766)
Held-To-Maturity Securities, at Fair Value 101,929 128,837 134,811
Maturities of Debt Securities, at Amortized Cost:      
Within One Year 52,575    
From 1 - 5 Years 48,435    
From 5 - 10 Years 2,321    
Over 10 Years 6    
Maturities of Debt Securities, at Fair Value:      
Within One Year 52,224    
From 1 - 5 Years 47,393    
From 5 - 10 Years 2,306    
Over 10 Years 6    
Securities in a Continuous Loss Position, at Fair Value:      
Less than 12 Months 175 1,472 1,575
12 Months or Longer 80,563 111,383 117,090
Total $ 80,738 $ 112,855 $ 118,665
Number of Securities in a Continuous Loss Position | security 247 335 355
Unrealized Losses on Securities in a Continuous Loss Position:      
Less than 12 Months $ 0 $ 14 $ 86
12 Months or Longer 1,408 2,545 5,680
Total 1,408 2,559 5,766
State and Municipal Obligations      
Schedule of Held-to-maturity Securities [Line Items]      
Held-To-Maturity Securities, at Amortized Cost 96,275 122,450 131,017
Gross Unrealized Gains     0
Gross Unrealized Losses (1,205) (2,157) (5,204)
Held-To-Maturity Securities, at Fair Value 95,070 120,293 125,813
Maturities of Debt Securities, at Amortized Cost:      
Within One Year 52,575    
From 1 - 5 Years 41,373    
From 5 - 10 Years 2,321    
Over 10 Years 6    
Maturities of Debt Securities, at Fair Value:      
Within One Year 52,224    
From 1 - 5 Years 40,534    
From 5 - 10 Years 2,306    
Over 10 Years 6    
Securities in a Continuous Loss Position, at Fair Value:      
Less than 12 Months 175 1,472 1,575
12 Months or Longer 73,705 102,839 108,092
Total $ 73,880 $ 104,311 $ 109,667
Number of Securities in a Continuous Loss Position | security 231 319 339
Unrealized Losses on Securities in a Continuous Loss Position:      
Less than 12 Months $ 0 $ 14 $ 86
12 Months or Longer 1,205 2,143 5,118
Total 1,205 2,157 5,204
Mortgage-Backed Securities - Residential      
Schedule of Held-to-maturity Securities [Line Items]      
Held-To-Maturity Securities, at Amortized Cost 7,062 8,945 9,560
Gross Unrealized Gains     0
Gross Unrealized Losses (203) (401) (562)
Held-To-Maturity Securities, at Fair Value 6,859 8,544 8,998
Maturities of Debt Securities, at Amortized Cost:      
Within One Year 0    
From 1 - 5 Years 7,062    
From 5 - 10 Years 0    
Over 10 Years 0    
Maturities of Debt Securities, at Fair Value:      
Within One Year 0    
From 1 - 5 Years 6,859    
From 5 - 10 Years 0    
Over 10 Years 0    
Securities in a Continuous Loss Position, at Fair Value:      
Less than 12 Months 0 0 0
12 Months or Longer 6,858 8,544 8,998
Total $ 6,858 $ 8,544 $ 8,998
Number of Securities in a Continuous Loss Position | security 16 16 16
Unrealized Losses on Securities in a Continuous Loss Position:      
Less than 12 Months $ 0 $ 0 $ 0
12 Months or Longer 203 402 562
Total 203 402 562
Collateral Pledged      
Schedule of Held-to-maturity Securities [Line Items]      
Held-To-Maturity Securities, Pledged as Collateral, at Carrying Value 82,532 115,030 117,723
Held-To-Maturity Securities, Pledged as Collateral, at Fair Value 81,123 112,472 111,957
Municipal Bonds | State and Municipal Obligations      
Schedule of Held-to-maturity Securities [Line Items]      
Held-To-Maturity Securities, at Amortized Cost 96,275 122,450 131,017
Municipal Bonds | Fair Value, Measurements, Recurring | State and Municipal Obligations      
Schedule of Held-to-maturity Securities [Line Items]      
Held-To-Maturity Securities, at Fair Value 95,070 120,293 125,813
US Government Agencies Debt Securities | Mortgage-Backed Securities - Residential      
Schedule of Held-to-maturity Securities [Line Items]      
Held-To-Maturity Securities, at Amortized Cost 2,526 3,114 3,292
US Government Agencies Debt Securities | Fair Value, Measurements, Recurring | Mortgage-Backed Securities - Residential      
Schedule of Held-to-maturity Securities [Line Items]      
Held-To-Maturity Securities, at Fair Value 2,445 2,954 3,075
US Government-sponsored Enterprises Debt Securities | Mortgage-Backed Securities - Residential      
Schedule of Held-to-maturity Securities [Line Items]      
Held-To-Maturity Securities, at Amortized Cost 4,536 5,831 6,268
US Government-sponsored Enterprises Debt Securities | Fair Value, Measurements, Recurring | Mortgage-Backed Securities - Residential      
Schedule of Held-to-maturity Securities [Line Items]      
Held-To-Maturity Securities, at Fair Value $ 4,414 $ 5,589 $ 5,923