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INVESTMENT SECURITIES (Tables)
6 Months Ended
Jun. 30, 2020
INVESTMENT SECURITIES  
Schedule of gross amortized cost and fair value of available-for-sale debt securities and the related gross unrealized gains and losses recognized in accumulated other comprehensive income

    

    

Gross

    

Gross

    

Allowance

 

    

Amortized

Unrealized

Unrealized

for

 

Fair

June 30, 2020 (in thousands)

Cost

Gains

Losses

Credit Losses

 

Value

U.S. Treasury securities and U.S. Government agencies

$

137,739

$

2,057

$

$

$

139,796

Private label mortgage backed security

 

1,845

 

1,178

 

 

 

3,023

Mortgage backed securities - residential

 

263,760

 

9,521

 

 

 

273,281

Collateralized mortgage obligations

 

57,030

 

678

 

(110)

 

 

57,598

Corporate bonds

 

10,000

 

 

(225)

 

(126)

 

9,649

Trust preferred security

 

3,597

 

 

(97)

 

 

3,500

Total available-for-sale debt securities

$

473,971

$

13,434

$

(432)

$

(126)

$

486,847

    

    

Gross

    

Gross

    

Allowance

 

    

Amortized

Unrealized

Unrealized

for

 

Fair

December 31, 2019 (in thousands)

Cost

Gains

Losses

Credit Losses

 

Value

U.S. Treasury securities and U.S. Government agencies

$

134,765

$

59

$

(184)

NA

$

134,640

Private label mortgage backed security

 

2,210

 

1,285

 

NA

 

3,495

Mortgage backed securities - residential

 

253,288

 

2,916

 

(357)

NA

 

255,847

Collateralized mortgage obligations

 

63,284

 

258

 

(171)

NA

 

63,371

Corporate bonds

 

10,000

 

2

 

NA

 

10,002

Trust preferred security

 

3,575

 

425

 

NA

 

4,000

Total available-for-sale debt securities

$

467,122

$

4,945

$

(712)

NA

$

471,355

Schedule of carrying value, gross unrecognized gains and losses, and fair value of held-to-maturity debt securities

    

    

    

Gross

    

Gross

    

    

    

Allowance

Carrying

Unrecognized

Unrecognized

Fair

for

June 30, 2020 (in thousands)

Value

Gains

Losses

Value

Credit Losses

Mortgage backed securities - residential

$

102

$

5

$

$

107

$

Collateralized mortgage obligations

 

15,338

 

132

 

(1)

 

15,469

 

Corporate bonds

 

39,991

 

250

 

(21)

 

40,220

 

(147)

Obligations of state and political subdivisions

461

9

470

Total held-to-maturity debt securities

$

55,892

$

396

$

(22)

$

56,266

$

(147)

    

    

    

Gross

    

Gross

    

    

    

Allowance

Carrying

Unrecognized

Unrecognized

Fair

for

December 31, 2019 (in thousands)

Value

Gains

Losses

Value

Credit Losses

Mortgage backed securities - residential

$

104

$

6

$

$

110

NA

Collateralized mortgage obligations

 

16,970

 

94

 

(21)

 

17,043

 

NA

Corporate bonds

 

44,995

 

544

 

 

45,539

 

NA

Obligations of state and political subdivisions

462

2

464

 

NA

Total held-to-maturity debt securities

$

62,531

$

646

$

(21)

$

63,156

 

NA

Schedule of amortized cost and fair value of debt securities by contractual maturity

Available-for-Sale

Held-to-Maturity

 

Debt Securities

Debt Securities

 

    

Amortized

    

Fair

    

Carrying

    

Fair

 

June 30, 2020 (in thousands)

Cost

Value

Value

Value

 

 

Due in one year or less

$

$

$

105

$

105

Due from one year to five years

 

147,739

 

149,445

 

35,395

 

35,654

Due from five years to ten years

 

 

 

4,952

 

4,931

Due beyond ten years

 

3,597

 

3,500

 

 

Private label mortgage backed security

 

1,845

 

3,023

 

 

Mortgage backed securities - residential

 

263,760

 

273,281

 

102

 

107

Collateralized mortgage obligations

 

57,030

 

57,598

 

15,338

 

15,469

Total debt securities

$

473,971

$

486,847

$

55,892

$

56,266

Schedule of debt securities with unrealized losses

Less than 12 months

12 months or more

Total

 

    

    

Unrealized

    

    

Unrealized

    

    

Unrealized

 

June 30, 2020 (in thousands)

Fair Value

Losses

Fair Value

Losses

Fair Value

Losses

 

Available-for-sale debt securities:

Collateralized mortgage obligations

$

8,258

$

(101)

$

2,971

$

(9)

$

11,229

(110)

Trust preferred security

 

3,500

 

(97)

 

 

 

3,500

 

(97)

Total available-for-sale debt securities

$

11,758

$

(198)

$

2,971

$

(9)

$

14,729

$

(207)

Debt securities with unrealized losses at December 31, 2019, aggregated by investment category and length of time in a continuous unrealized loss position, were as follows:

Less than 12 months

12 months or more

Total

 

    

    

Unrealized

    

    

Unrealized

    

    

Unrealized

 

December 31, 2019 (in thousands)

Fair Value

Losses

Fair Value

Losses

Fair Value

Losses

 

Available-for-sale debt securities:

U.S. Treasury securities and U.S. Government agencies

$

40,165

$

(176)

$

14,992

$

(8)

$

55,157

$

(184)

Mortgage backed securities - residential

65,630

(269)

16,633

(88)

82,263

(357)

Collateralized mortgage obligations

12,444

(36)

10,738

(135)

23,182

(171)

Total available-for-sale debt securities

$

118,239

$

(481)

$

42,363

$

(231)

$

160,602

$

(712)

Less than 12 months

12 months or more

Total

 

    

    

Unrealized

    

    

Unrealized

    

    

Unrealized

 

December 31, 2019 (in thousands)

Fair Value

Losses

Fair Value

Losses

Fair Value

Losses

 

Held-to-maturity debt securities:

Collateralized mortgage obligations

$

4

$

(2)

$

4,827

$

(19)

$

4,831

$

(21)

Total held-to-maturity debt securities:

$

4

$

(2)

$

4,827

$

(19)

$

4,831

$

(21)

Schedule of allowance for credit losses on investment

ACLS Rollforward

Three Months Ended June 30, 2020

Beginning

ASC 326

Charge-

Ending

(in thousands)

Balance

Adoption

Provision

offs

Recoveries

Balance

Available-for-Sale Securities:

Corporate Bonds

$

126

$

$

$

$

$

126

Held-to-Maturity Securities:

Corporate Bonds

171

(24)

147

Total

$

297

$

$

(24)

$

$

$

273

ACLS Rollforward

Six Months Ended June 30, 2020

Beginning

ASC 326

Charge-

Ending

(in thousands)

Balance

Adoption

Provision

offs

Recoveries

Balance

Available-for-Sale Securities:

Corporate Bonds

$

$

$

126

$

$

$

126

Held-to-Maturity Securities:

Corporate Bonds

51

96

147

Total

$

$

51

$

222

$

$

$

273

Schedule of pledged investment securities

(in thousands)

    

June 30, 2020

    

December 31, 2019

 

Carrying amount

$

259,808

$

229,700

Fair value

 

259,812

 

229,706

Schedule of carrying value, gross unrealized gains and losses, and fair value of equity securities with readily determinable fair values

    

    

Gross

    

Gross

    

    

 

Amortized

Unrealized

Unrealized

Fair

 

June 30, 2020 (in thousands)

Cost

Gains

Losses

Value

 

Freddie Mac preferred stock

$

$

485

$

$

485

Community Reinvestment Act mutual fund

 

2,500

 

30

 

 

2,530

Total equity securities with readily determinable fair values

$

2,500

$

515

$

$

3,015

    

    

Gross

    

Gross

    

    

 

Amortized

Unrealized

Unrealized

Fair

 

December 31, 2019 (in thousands)

Cost

Gains

Losses

Value

 

Freddie Mac preferred stock

$

$

714

$

$

714

Community Reinvestment Act mutual fund

 

2,500

 

 

(26)

 

2,474

Total equity securities with readily determinable fair values

$

2,500

$

714

$

(26)

$

3,188

Schedule of equity securities with readily determinable fair values, the gross realized and unrealized gains and losses recognized in the Company's consolidated statements of income

Gains (Losses) Recognized on Equity Securities

Three Months Ended June 30, 2020

    

Three Months Ended June 30, 2019

    

(in thousands)

    

Realized

    

Unrealized

    

Total

    

Realized

    

Unrealized

    

Total

Freddie Mac preferred stock

$

$

191

$

191

$

$

126

$

126

Community Reinvestment Act mutual fund

 

 

16

 

16

 

 

33

 

33

Total equity securities with readily determinable fair value

$

$

207

$

207

$

$

159

$

159

Gains (Losses) Recognized on Equity Securities

Six Months Ended June 30, 2020

    

Six Months Ended June 30, 2019

(in thousands)

Realized

Unrealized

Total

Realized

Unrealized

Total

Freddie Mac preferred stock

$

$

(229)

$

(229)

$

$

378

$

378

Community Reinvestment Act mutual fund

 

 

56

 

56

 

 

70

 

70

Total equity securities with readily determinable fair value

$

$

(173)

$

(173)

$

$

448

$

448