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Note 3: Loans and Allowance for Loan Losses: Schedule of Loans and Leases Receivable Allowance for Loan Losses (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2019
Dec. 31, 2018
Dec. 31, 2017
Loans Receivable      
Balance $ 38,409 $ 36,492 $ 37,400
Provision (benefit) charged to expense 6,150 7,150 9,100
Losses charged off (8,062) (11,356) (16,077)
Recoveries 3,797 6,123 6,069
Balance 40,294 38,409 36,492
Individually evaluated for impairment 929 2,041 3,951
Collectively evaluated for impairment 38,704 35,947 32,081
Certain Loans Acquired in Transfer Not Accounted for as Debt Securities, Provision for Loan Losses 661 421 460
Individually evaluated for impairment 10,267 13,939 25,334
Collectively evaluated for impairment 4,914,573 4,811,661 4,327,960
Financing Receivables Acquired and Evaluated for Impairment 127,206 167,651 209,669
One- to four-family residential construction      
Balance 3,122 2,108 2,322
Provision (benefit) charged to expense 1,625 742 (158)
Losses charged off (534) (62) (165)
Recoveries 126 334 109
Balance 4,339 3,122 2,108
Individually evaluated for impairment 198 694 513
Collectively evaluated for impairment 3,973 2,392 1,564
Certain Loans Acquired in Transfer Not Accounted for as Debt Securities, Provision for Loan Losses 168 36 31
Individually evaluated for impairment 2,960 6,116 6,950
Collectively evaluated for impairment 554,450 433,209 341,888
Financing Receivables Acquired and Evaluated for Impairment 74,562 93,841 120,295
Other residential      
Balance 4,713 2,839 5,486
Provision (benefit) charged to expense 603 1,982 (2,356)
Losses charged off (189) (525) (488)
Recoveries 26 417 197
Balance 5,153 4,713 2,839
Individually evaluated for impairment 0 0 0
Collectively evaluated for impairment 5,101 4,681 2,813
Certain Loans Acquired in Transfer Not Accounted for as Debt Securities, Provision for Loan Losses 52 32 26
Individually evaluated for impairment 0 0 2,907
Collectively evaluated for impairment 866,006 784,894 742,738
Financing Receivables Acquired and Evaluated for Impairment 5,334 12,790 14,877
Commercial Real Estate      
Balance 19,803 18,639 15,938
Provision (benefit) charged to expense 4,651 1,094 4,234
Losses charged off (144) (102) (1,656)
Recoveries 24 172 123
Balance 24,334 19,803 18,639
Individually evaluated for impairment 517 613 599
Collectively evaluated for impairment 23,570 18,958 17,843
Certain Loans Acquired in Transfer Not Accounted for as Debt Securities, Provision for Loan Losses 247 232 197
Individually evaluated for impairment 4,020 3,501 8,315
Collectively evaluated for impairment 1,490,152 1,367,934 1,227,014
Financing Receivables Acquired and Evaluated for Impairment 29,158 33,620 39,210
Commercial construction      
Balance 3,105 1,767 2,284
Provision (benefit) charged to expense 22 1,031 (643)
Losses charged off (101) (87) (420)
Recoveries 50 394 546
Balance 3,076 3,105 1,767
Individually evaluated for impairment 0 0 0
Collectively evaluated for impairment 2,940 3,029 1,690
Certain Loans Acquired in Transfer Not Accounted for as Debt Securities, Provision for Loan Losses 136 76 77
Individually evaluated for impairment 0 14 15
Collectively evaluated for impairment 1,363,292 1,461,644 1,112,308
Financing Receivables Acquired and Evaluated for Impairment 3,606 4,093 3,806
Commercial business      
Balance 1,568 3,581 3,015
Provision (benefit) charged to expense (309) (1,613) 1,475
Losses charged off (371) (1,155) (1,489)
Recoveries 467 755 580
Balance 1,355 1,568 3,581
Individually evaluated for impairment 13 309 2,140
Collectively evaluated for impairment 1,306 1,247 1,369
Certain Loans Acquired in Transfer Not Accounted for as Debt Securities, Provision for Loan Losses 36 12 72
Individually evaluated for impairment 1,286 1,844 3,018
Collectively evaluated for impairment 325,112 334,214 372,192
Financing Receivables Acquired and Evaluated for Impairment 3,356 4,347 5,275
Consumer Loan      
Balance 6,098 7,558 8,355
Provision (benefit) charged to expense (442) 3,914 6,548
Losses charged off (6,723) (9,425) (11,859)
Recoveries 3,104 4,051 4,514
Balance 2,037 6,098 7,558
Individually evaluated for impairment 201 425 699
Collectively evaluated for impairment 1,814 5,640 6,802
Certain Loans Acquired in Transfer Not Accounted for as Debt Securities, Provision for Loan Losses 22 33 57
Individually evaluated for impairment 2,001 2,464 4,129
Collectively evaluated for impairment 315,561 429,766 531,820
Financing Receivables Acquired and Evaluated for Impairment $ 11,190 $ 18,960 $ 26,206