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SECURITIES - Schedule of Contractual Maturity of Securities Available for Sale, Excluding Equity Securities (Details) - USD ($)
$ in Thousands
Jun. 30, 2022
Dec. 31, 2021
Amortized Cost    
1 year or less $ 4,854  
1 year – 5 years 34,134  
5 years – 10 years 91,531  
After 10 years 30,836  
Total, Amortized Cost 161,355  
Total debt securities 450,904 $ 698,085
Fair Value    
1 year or less 4,869  
1 year – 5 years 33,151  
5 years – 10 years 81,388  
After 10 years 25,392  
Total, Fair Value 144,800  
Total debt securities 404,407 697,191
Amortized Cost    
1 year or less 5,125  
1 year – 5 years 232,236  
5 years – 10 years 64,786  
After 10 years 5,487  
Total, Amortized Cost 307,634  
Total debt securities 413,310 0
Fair Value    
1 year or less 5,018  
1 year – 5 years 221,284  
5 years – 10 years 58,206  
After 10 years 4,799  
Total, Fair Value 289,307  
Total debt securities 389,933 0
Residential & multi-family mortgage    
Amortized Cost    
Mortgage & asset backed securities, Amortized Cost 273,603  
Total debt securities 273,603 437,021
Fair Value    
Mortgage & asset backed securities, Fair Value 244,513  
Total debt securities 244,513 434,635
Amortized Cost    
Mortgage & asset backed securities, Amortized Cost 105,676  
Fair Value    
Mortgage & asset backed securities, Fair Value 100,626  
Total debt securities 100,626 0
Pooled SBA    
Amortized Cost    
Mortgage & asset backed securities, Amortized Cost 15,946  
Total debt securities 15,946 18,787
Fair Value    
Mortgage & asset backed securities, Fair Value 15,094  
Total debt securities 15,094 $ 19,032
Amortized Cost    
Mortgage & asset backed securities, Amortized Cost 0  
Fair Value    
Mortgage & asset backed securities, Fair Value $ 0