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INVESTMENT SECURITIES - AMORTIZED COST AND FV (Details) - USD ($)
$ in Thousands
Jun. 30, 2020
Dec. 31, 2019
Securities available for Sale - Amortized Cost    
Due from one year to five years $ 147,739  
Due beyond ten years 3,597  
Amortized Cost 473,971 $ 467,122
Securities available for Sale - Fair Value    
Due from one year to five years 149,445  
Due beyond ten years 3,500  
Total securities 486,847 471,355
Securities held to maturity - Carrying Value    
Due in one year or less 105  
Due from one year to five years 35,395  
Due from five years to ten years 4,952  
Total securities 55,892 62,531
Securities held to maturity - Fair Value    
Due in one year or less 105  
Due from one year to five years 35,654  
Due from five years to ten years 4,931  
Fair Value 56,266 63,156
Private label mortgage backed security    
Securities available for Sale - Amortized Cost    
Securities not due at a single maturity date 1,845  
Amortized Cost 1,845 2,210
Securities available for Sale - Fair Value    
Securities not due at a single maturity date 3,023  
Total securities 3,023 3,495
Mortgage backed securities - residential    
Securities available for Sale - Amortized Cost    
Securities not due at a single maturity date 263,760  
Amortized Cost 263,760 253,288
Securities available for Sale - Fair Value    
Securities not due at a single maturity date 273,281  
Total securities 273,281 255,847
Securities held to maturity - Carrying Value    
Securities not due at a single maturity date 102  
Total securities 102 104
Securities held to maturity - Fair Value    
Securities not due at a single maturity date 107  
Fair Value 107 110
Collateralized mortgage obligations    
Securities available for Sale - Amortized Cost    
Securities not due at a single maturity date 57,030  
Amortized Cost 57,030 63,284
Securities available for Sale - Fair Value    
Securities not due at a single maturity date 57,598  
Total securities 57,598 63,371
Securities held to maturity - Carrying Value    
Securities not due at a single maturity date 15,338  
Total securities 15,338 16,970
Securities held to maturity - Fair Value    
Securities not due at a single maturity date 15,469  
Fair Value $ 15,469 $ 17,043