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Securities - Amortized Cost to Fair Value (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2024
Jun. 30, 2024
Jun. 30, 2023
Dec. 31, 2023
Available for sale:        
Available for sale at amortized cost $ 105,678 $ 105,678   $ 97,554
Gross unrealized gains 321 321   281
Gross unrealized losses (4,989) (4,989)   (4,787)
Allowance for credit losses (1,929) (1,929)   (1,283)
Available of sale at fair value 99,081 99,081   91,765
Held to maturity:        
Held to maturity, Amortized cost 36,157 36,157   36,122
Gross unrealized gains 68 68   90
Gross unrealized losses (7,218) (7,218)   (6,556)
Estimated fair value 29,007 29,007   29,656
Provision for credit loss on AFS debt securities 646 646 $ 0  
U.S. Government sponsored entities        
Available for sale:        
Available for sale at amortized cost 15,000 15,000   16,490
Gross unrealized losses (463) (463)   (457)
Available of sale at fair value 14,537 14,537   16,033
Held to maturity:        
Held to maturity, Amortized cost 28,000 28,000   28,000
Gross unrealized losses (4,736) (4,736)   (4,419)
Estimated fair value 23,264 23,264   23,581
State and political subdivisions        
Available for sale:        
Available for sale at amortized cost 377 377   388
Gross unrealized losses (31) (31)   (28)
Available of sale at fair value 346 346   360
Held to maturity:        
Held to maturity, Amortized cost 1,203 1,203   1,272
Gross unrealized gains 68 68   90
Estimated fair value 1,271 1,271   1,362
Residential mortgage-backed securities        
Available for sale:        
Available for sale at amortized cost 14,597 14,597   15,473
Gross unrealized gains 26 26   30
Gross unrealized losses (1,664) (1,664)   (1,426)
Available of sale at fair value 12,959 12,959   14,077
Held to maturity:        
Held to maturity, Amortized cost 6,954 6,954   6,850
Gross unrealized losses (2,482) (2,482)   (2,137)
Estimated fair value 4,472 4,472   4,713
Corporate and other securities        
Available for sale:        
Available for sale at amortized cost 75,704 75,704   65,203
Gross unrealized gains 295 295   251
Gross unrealized losses (2,831) (2,831)   (2,876)
Allowance for credit losses (1,929) (1,929)   (1,283)
Available of sale at fair value 71,239 71,239   $ 61,295
Held to maturity:        
Amount moved to non accrual status 5,000      
Net carrying value $ 3,100 $ 3,100