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Fair Value Measurements - Reconciliation of activity for assets and liabilities measured at fair value (Details) - Fair Value, Inputs, Level 3 - USD ($)
$ in Thousands
6 Months Ended 12 Months Ended
Jun. 30, 2020
Dec. 31, 2019
Assets - Beginning balance $ 11,211 $ 10,023
Realized (loss) gain included in earnings 162 31
Unrealized gain included in other comprehensive income 1,280 131
Purchases of available -for-sale securities 41,547 4,030
Principal redemption (21,082) (3,004)
Assets - Ending balance 33,118 11,211
Liabilities - Beginning balance 66 269
Realized loss (gain) included in earnings (66) (203)
Liabilities - Ending balance 0 66
Investment Securities    
Assets - Beginning balance 10,931 9,794
Realized (loss) gain included in earnings 442 (20)
Unrealized gain included in other comprehensive income 1,280 131
Purchases of available -for-sale securities 41,547 4,030
Principal redemption (21,082) (3,004)
Assets - Ending balance 33,118 10,931
Liabilities - Beginning balance 0  
Liabilities - Ending balance 0 0
Mortgage Banking Derivatives    
Assets - Beginning balance 280 229
Realized (loss) gain included in earnings (280) 51
Assets - Ending balance 0 280
Liabilities - Beginning balance 66 269
Realized loss (gain) included in earnings (66) (203)
Liabilities - Ending balance $ 0 $ 66