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Securities (Tables)
3 Months Ended
Mar. 31, 2022
Notes Tables  
Schedule of portfolio of securities

The following table summarizes the Company’s portfolio of securities held-to-maturity at March 31, 2022:

Gross

Gross

Amortized

Unrecognized

Unrecognized

    

Cost

    

Fair Value

    

Gains

Losses

(In thousands)

Securities held-to-maturity:

 

  

 

  

 

  

  

Municipals

$

67,313

$

61,839

$

$

5,474

Total municipals

 

67,313

 

61,839

 

 

5,474

FNMA

 

7,890

 

7,880

 

 

10

Total mortgage-backed securities

 

7,890

 

7,880

 

 

10

Allowance for Credit Losses

(986)

Total

$

74,217

$

69,719

$

$

5,484

The following table summarizes the Company’s portfolio of securities held-to-maturity at December 31, 2021:

Gross

Gross

Amortized

Unrecognized

Unrecognized

    

Cost

    

Fair Value

    

Gains

Losses

(In thousands)

Securities held-to-maturity:

 

  

 

  

 

  

  

Municipals

$

50,836

$

53,362

$

2,526

$

Total municipals

 

50,836

 

53,362

 

2,526

 

FNMA

 

7,894

 

8,667

 

773

 

Total mortgage-backed securities

 

7,894

 

8,667

 

773

 

Allowance for Credit Losses

(862)

Total

$

57,868

$

62,029

$

3,299

$

The following table summarizes the Company’s portfolio of securities available for sale at March 31, 2022:

Gross

Gross

Amortized

Unrealized

Unrealized

    

Cost

    

Fair Value

    

Gains

    

Losses

(In thousands)

U.S. government agencies

$

74,543

$

73,870

$

$

673

Corporate

109,924

104,176

86

5,834

Mutual funds

 

11,937

 

11,937

 

 

Collateralized loan obligations

 

95,014

 

94,318

 

 

696

Other

 

1,740

 

1,740

 

 

Total other securities

 

293,158

 

286,041

 

86

 

7,203

REMIC and CMO

 

197,494

 

185,390

 

19

 

12,123

GNMA

 

10,039

 

9,116

 

18

 

941

FNMA

 

226,185

 

213,798

 

67

 

12,454

FHLMC

 

156,501

 

145,524

 

107

 

11,084

Total mortgage-backed securities

 

590,219

 

553,828

 

211

 

36,602

Total securities available for sale

$

883,377

$

839,869

$

297

$

43,805

The following table summarizes the Company’s portfolio of securities available for sale at December 31, 2021:

Gross

Gross

Amortized

Unrealized

Unrealized

    

Cost

    

Fair Value

    

Gains

    

Losses

(In thousands)

U.S. government agencies

$

5,599

$

5,590

$

$

9

Corporate

107,423

104,370

136

3,189

Mutual funds

 

12,485

 

12,485

 

 

Collateralized loan obligations

 

81,166

 

80,912

 

1

 

255

Other

 

1,695

 

1,695

 

 

Total other securities

 

208,368

 

205,052

 

137

 

3,453

REMIC and CMO

 

210,948

 

208,509

 

1,217

 

3,656

GNMA

 

10,572

 

10,286

 

30

 

316

FNMA

 

203,777

 

202,938

 

1,321

 

2,160

FHLMC

 

152,760

 

150,451

 

326

 

2,635

Total mortgage-backed securities

 

578,057

 

572,184

 

2,894

 

8,767

Total securities available for sale

$

786,425

$

777,236

$

3,031

$

12,220

Schedule of amortized cost and fair value of the Company's securities classified as held-to-maturity and available for sale

 

Amortized

Securities held-to-maturity:

    

Cost

    

Fair Value

 

(In thousands)

Due after ten years

$

67,313

$

61,839

Total other securities

67,313

61,839

Mortgage-backed securities

7,890

7,880

75,203

69,719

Allowance for credit losses

(986)

-

Total securities held-to-maturity

 

$

74,217

 

$

69,719

Amortized

Securities available for sale:

    

Cost

    

Fair Value

(In thousands)

Due in one year or less

 

$

10,036

 

$

9,989

Due after one year through five years

79,395

78,619

Due after five years through ten years

 

168,590

 

162,353

Due after ten years

23,200

23,143

Total other securities

 

281,221

 

274,104

Mutual funds

 

11,937

 

11,937

Mortgage-backed securities

 

590,219

 

553,828

Total securities available for sale

$

883,377

$

839,869

Schedule of securities with gross unrealized losses and their fair value

At March 31, 2022

Total

Less than 12 months

12 months or more

Unrealized

Unrealized

Unrealized

    

Count

    

Fair Value

    

Losses

    

Fair Value

    

Losses

    

Fair Value

    

Losses

(Dollars in thousands)

Held-to-maturity securities

 

  

 

  

 

  

 

  

 

  

 

  

 

  

Municipals

 

3

$

61,839

$

5,474

$

61,839

$

5,474

$

$

Total other securities

 

3

 

61,839

 

5,474

 

61,839

 

5,474

 

 

FNMA

 

1

 

7,880

 

10

 

7,880

 

10

 

 

Total mortgage-backed securities

 

1

 

7,880

 

10

 

7,880

 

10

 

 

Total

 

4

$

69,719

$

5,484

$

69,719

$

5,484

$

$

Available for sale securities

 

  

 

  

 

  

 

  

 

  

 

  

 

  

U.S. government agencies

 

7

$

73,870

$

673

$

69,749

$

667

$

4,121

$

6

Corporate

 

13

 

91,591

 

5,834

 

63,000

 

4,425

 

28,591

 

1,409

CLO

 

12

 

94,319

 

696

 

73,408

 

341

 

20,911

 

355

Total other securities

 

32

 

259,780

 

7,203

 

206,157

 

5,433

 

53,623

 

1,770

REMIC and CMO

 

45

 

174,122

 

12,123

 

120,470

 

6,670

 

53,652

 

5,453

GNMA

 

4

 

8,793

 

941

 

307

 

9

 

8,486

 

932

FNMA

 

43

 

197,920

 

12,454

 

151,792

 

8,184

 

46,128

 

4,270

FHLMC

 

23

 

132,744

 

11,084

 

64,038

 

3,734

 

68,706

 

7,350

Total mortgage-backed securities

 

115

 

513,579

 

36,602

 

336,607

 

18,597

 

176,972

 

18,005

Total

 

147

$

773,359

$

43,805

$

542,764

$

24,030

$

230,595

$

19,775

At December 31, 2021

Total

Less than 12 months

12 months or more

Unrealized

Unrealized

Unrealized

    

Count

    

Fair Value

    

Losses

    

Fair Value

    

Losses

    

Fair Value

    

Losses

(Dollars in thousands)

Available for sale securities

 

  

 

  

 

  

 

  

 

  

 

  

 

  

U.S. government agencies

 

2

$

5,577

$

9

$

1,130

$

5

$

4,447

$

4

Corporate

 

13

 

94,234

 

3,189

 

65,453

 

1,970

 

28,781

 

1,219

CLO

 

4

 

31,012

 

255

 

10,000

 

1

 

21,012

 

254

Total other securities

 

19

 

130,823

 

3,453

 

76,583

 

1,976

 

54,240

 

1,477

REMIC and CMO

 

15

 

124,131

 

3,656

 

105,959

 

2,800

 

18,172

 

856

GNMA

 

4

 

9,924

 

316

 

1,138

 

16

 

8,786

 

300

FNMA

 

25

 

171,109

 

2,160

 

153,657

 

1,587

 

17,452

 

573

FHLMC

 

18

 

129,115

 

2,635

 

98,297

 

1,448

 

30,818

 

1,187

Total mortgage-backed securities

 

62

 

434,279

 

8,767

 

359,051

 

5,851

 

75,228

 

2,916

Total

 

81

$

565,102

$

12,220

$

435,634

$

7,827

$

129,468

$

4,393

Schedule of allowance for credit losses for debt securities held-to-maturity

The following table presents the activity in the allowance for credit losses for debt securities held-to-maturity.

Other Securities

For the three months ended

March 31, 

    

2022

    

2021

(In thousands)

Beginning balance

$

862

$

907

Provision

 

124

 

8

Allowance for credit losses

$

986

$

915