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Investment Securities - Held to Maturity (Details)
3 Months Ended
Mar. 31, 2021
USD ($)
security
Dec. 31, 2020
USD ($)
security
Mar. 31, 2020
USD ($)
security
Schedule of Held-to-maturity Securities [Line Items]      
Held-To-Maturity Securities, at Amortized Cost $ 214,561,000 $ 218,405,000 $ 238,520,000
Gross Unrealized Gains 6,799,000 8,174,000 4,433,000
Gross Unrealized Losses 0 (3,000) (149,000)
Held-To-Maturity Securities, at Fair Value 221,360,000 226,576,000 242,804,000
Maturities of Debt Securities, at Amortized Cost:      
Within One Year 18,099,000    
From 1 - 5 Years 161,349,000    
From 5 - 10 Years 34,110,000    
Over 10 Years 1,003,000    
Maturities of Debt Securities, at Fair Value:      
Within One Year 18,219,000    
From 1 - 5 Years 166,526,000    
From 5 - 10 Years 35,599,000    
Over 10 Years 1,016,000    
Securities in a Continuous Loss Position, at Fair Value:      
Less than 12 Months 0 1,513,000 5,625,000
12 Months or Longer 0 0 1,867,000
Total $ 0 $ 1,513,000 $ 7,492,000
Number of Securities in a Continuous Loss Position | security 0 4 16
Unrealized Losses on Securities in a Continuous Loss Position:      
Less than 12 Months $ 0 $ 3,000 $ 16,000
12 Months or Longer 0 0 133,000
Total 0 3,000 149,000
Debt securities, available-for-sale, allowance for credit loss 0    
Debt securities, available-for-sale, allowance for credit loss, not to sell before recovery, credit loss, previously recorded, expense (reversal) 0    
Debt securities, held-to-maturity, allowance for credit loss 0    
Equity Securities 1,796,000 1,636,000 1,689,000
State and Municipal Obligations      
Schedule of Held-to-maturity Securities [Line Items]      
Held-To-Maturity Securities, at Amortized Cost 191,202,000 192,352,000 204,148,000
Gross Unrealized Gains 5,843,000 7,080,000 3,104,000
Gross Unrealized Losses 0 (3,000) (149,000)
Held-To-Maturity Securities, at Fair Value 197,045,000 199,429,000 207,103,000
Maturities of Debt Securities, at Amortized Cost:      
Within One Year 16,513,000    
From 1 - 5 Years 139,576,000    
From 5 - 10 Years 34,110,000    
Over 10 Years 1,003,000    
Maturities of Debt Securities, at Fair Value:      
Within One Year 16,580,000    
From 1 - 5 Years 143,850,000    
From 5 - 10 Years 35,599,000    
Over 10 Years 1,016,000    
Securities in a Continuous Loss Position, at Fair Value:      
Less than 12 Months 0 1,513,000 5,625,000
12 Months or Longer 0 0 1,867,000
Total $ 0 $ 1,513,000 $ 7,492,000
Number of Securities in a Continuous Loss Position | security 0 4 16
Unrealized Losses on Securities in a Continuous Loss Position:      
Less than 12 Months $ 0 $ 3,000 $ 16,000
12 Months or Longer 0 0 133,000
Total 0 3,000 149,000
Mortgage-Backed Securities - Residential      
Schedule of Held-to-maturity Securities [Line Items]      
Held-To-Maturity Securities, at Amortized Cost 23,359,000 26,053,000 34,372,000
Gross Unrealized Gains 956,000 1,094,000 1,329,000
Gross Unrealized Losses 0 0 0
Held-To-Maturity Securities, at Fair Value 24,315,000 27,147,000 35,701,000
Maturities of Debt Securities, at Amortized Cost:      
Within One Year 1,586,000    
From 1 - 5 Years 21,773,000    
From 5 - 10 Years 0    
Over 10 Years 0    
Maturities of Debt Securities, at Fair Value:      
Within One Year 1,639,000    
From 1 - 5 Years 22,676,000    
From 5 - 10 Years 0    
Over 10 Years 0    
Securities in a Continuous Loss Position, at Fair Value:      
Less than 12 Months 0 0 0
12 Months or Longer 0 0 0
Total $ 0 $ 0 $ 0
Number of Securities in a Continuous Loss Position | security 0 0 0
Unrealized Losses on Securities in a Continuous Loss Position:      
Less than 12 Months $ 0 $ 0 $ 0
12 Months or Longer 0 0 0
Total 0 0 0
Fair Value, Measurements, Recurring      
Unrealized Losses on Securities in a Continuous Loss Position:      
Equity Securities 1,796,000 1,636,000 1,689,000
Collateral Pledged      
Schedule of Held-to-maturity Securities [Line Items]      
Held-To-Maturity Securities, Pledged as Collateral, at Fair Value 207,595,000 211,176,000 231,539,000
US Government Agencies Debt Securities | Mortgage-Backed Securities - Residential      
Schedule of Held-to-maturity Securities [Line Items]      
Held-To-Maturity Securities, at Amortized Cost 8,310,000 9,440,000 1,594,000
US Government Agencies Debt Securities | Fair Value, Measurements, Recurring | Mortgage-Backed Securities - Residential      
Schedule of Held-to-maturity Securities [Line Items]      
Held-To-Maturity Securities, at Fair Value 8,597,000 9,762,000 1,655,000
US Government-sponsored Enterprises Debt Securities | Mortgage-Backed Securities - Residential      
Schedule of Held-to-maturity Securities [Line Items]      
Held-To-Maturity Securities, at Amortized Cost 15,049,000 16,613,000 32,778,000
US Government-sponsored Enterprises Debt Securities | Fair Value, Measurements, Recurring | Mortgage-Backed Securities - Residential      
Schedule of Held-to-maturity Securities [Line Items]      
Held-To-Maturity Securities, at Fair Value $ 15,718,000 $ 17,385,000 $ 34,046,000