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SECURITIES - Amortized cost and estimated fair value of securities by contractual maturity (Details) - USD ($)
$ in Thousands
9 Months Ended
Sep. 30, 2023
Sep. 30, 2022
Dec. 31, 2022
Available for Sale, Amortized Cost      
Due in one year or less $ 6,704    
Due after one year through 5 years 31,059    
Due after 5 years through ten years 74,846    
Due after 10 years 54,301    
Subtotal 166,910    
Mortgage-backed securities 38,692    
Amortized Cost 205,602   $ 325,960
Available for Sale, Estimated Fair Value      
Due in one year or less 6,548    
Due after one year through 5 years 28,060    
Due after 5 years through ten years 64,319    
Due after 10 years 44,279    
Subtotal 143,206    
Mortgage-backed securities 35,840    
Total 179,046   304,637
Held to Maturity, Amortized Cost      
Due in one year or less 15,819    
Due after one year through 5 years 56,263    
Due after 5 years through ten years 5,072    
Subtotal 77,154    
Amortized Cost 77,154   45,097
Held to Maturity, Estimated Fair Value      
Due in one year or less 15,594    
Due after one year through 5 years 54,356    
Due after 5 years through ten years 4,938    
Subtotal 74,888    
Total 74,888   43,770
Additional disclosures      
Carrying values of pledged securities 148,400   $ 226,900
Proceeds from sale of securities available for sale 34,200 $ 0  
Gross gains 100    
Gross losses $ 200