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Securities (Tables)
12 Months Ended
Dec. 31, 2023
Investments, Debt and Equity Securities [Abstract]  
Schedule of Available-for-sale Securities
The amortized cost and fair value of securities available-for-sale and the corresponding amounts of gross unrealized gains and losses recognized in accumulated other comprehensive income were as follows:
 As of December 31, 2023
Amortized CostGross
Unrealized
Gains
Gross
Unrealized
Losses
Fair Value
 (In Thousands)
Available-for-sale:
U.S. treasuries$14,158 $$(389)$13,776 
U.S. government agency securities - government-sponsored enterprises
27,986 35 (455)27,566 
Municipal securities40,407 — (4,526)35,881 
Residential mortgage-backed securities - government issued69,441 1,000 (2,385)68,056 
Residential mortgage-backed securities - government-sponsored enterprises
131,321 281 (10,769)120,833 
Commercial mortgage-backed securities - government issued2,995 — (470)2,525 
Commercial mortgage-backed securities - government-sponsored enterprises32,774 65 (4,470)28,369 
 $319,082 $1,388 $(23,464)$297,006 
 As of December 31, 2022
Amortized CostGross
Unrealized
Gains
Gross
Unrealized
Losses
Fair Value
 (In Thousands)
Available-for-sale:
U.S. treasuries$4,977 $— $(532)$4,445 
U.S. government agency securities - government-sponsored enterprises
13,666 70 (531)13,205 
Municipal securities45,088 90 (5,867)39,311 
Residential mortgage-backed securities - government issued21,790 — (2,359)19,431 
Residential mortgage-backed securities - government-sponsored enterprises
119,265 — (12,942)106,323 
Commercial mortgage-backed securities - government issued3,450 — (518)2,932 
Commercial mortgage-backed securities - government-sponsored enterprises31,515 — (5,138)26,377 
 $239,751 $160 $(27,887)$212,024 
Schedule of Held-to-maturity Securities
The amortized cost and fair value of securities held-to-maturity and the corresponding amounts of gross unrecognized gains and losses were as follows:
 As of December 31, 2023
Amortized CostGross
Unrecognized
Gains
Gross
Unrecognized
Losses
Fair Value
 (In Thousands)
Held-to-maturity:
Municipal securities$4,210 $$(41)$4,173 
Residential mortgage-backed securities - government issued1,211 — (76)1,135 
Residential mortgage-backed securities - government-sponsored enterprises
1,078 — (53)1,025 
Commercial mortgage-backed securities - government-sponsored enterprises
2,004 — (82)1,922 
 $8,503 $$(252)$8,255 
 As of December 31, 2022
Amortized CostGross
Unrecognized
Gains
Gross
Unrecognized
Losses
Fair Value
 (In Thousands)
Held-to-maturity:
Municipal securities$7,467 $$(70)$7,404 
Residential mortgage-backed securities - government issued1,625 — (107)1,518 
Residential mortgage-backed securities - government-sponsored enterprises
1,537 — (93)1,444 
Commercial mortgage-backed securities - government-sponsored enterprises
2,006 — (102)1,904 
 $12,635 $$(372)$12,270 
Realized gains and losses on sale of securities
Total proceeds and gross realized gains and losses from sales of securities available-for-sale were as follows:
 For the Year Ended December 31,
 
202320222021
 (In Thousands)
Gross gains$68 $— $92 
Gross losses(113)— (63)
Net (losses) gains on sale of available-for-sale securities$(45)$— $29 
Proceeds from sale of available-for-sale securities$5,085 $— $14,955 
Investments Classified by Contractual Maturity
The amortized cost and fair value of securities by contractual maturity at December 31, 2023 are shown below. Actual maturities may differ from contractual maturities because issuers have the right to call or prepay certain obligations with or without call or prepayment penalties.
Available-for-SaleHeld-to-Maturity
Amortized CostFair ValueAmortized CostFair Value
 (In Thousands)
Due in one year or less$22,576 $22,569 $1,060 $1,057 
Due in one year through five years18,970 17,646 3,150 3,116 
Due in five through ten years12,653 11,915 — — 
Due in over ten years28,352 25,093 — — 
 82,551 77,223 4,210 4,173 
Residential mortgage-backed securities200,762 188,889 2,289 2,160 
Commercial mortgage-backed securities35,769 30,894 2,004 1,922 
$319,082 $297,006 $8,503 $8,255 
Schedule of Unrealized Loss on Investments
A summary of unrealized loss information for securities available-for-sale, categorized by security type and length of time for which the security has been in a continuous unrealized loss position, follows:
 December 31, 2023
 Less than 12 Months12 Months or LongerTotal
Fair ValueUnrealized
Losses
Fair ValueUnrealized
Losses
Fair ValueUnrealized
Losses
 (In Thousands)
Available-for-sale:
U.S. treasuries$— $— $4,595 $389 $4,595 $389 
U.S. government agency securities - government-sponsored enterprises13,370 30 3,076 425 16,446 455 
Municipal securities
— — 35,881 4,526 35,881 4,526 
Residential mortgage-backed securities - government issued13,178 160 13,819 2,225 26,997 2,385 
Residential mortgage-backed securities - government-sponsored enterprises
19,925 285 78,086 10,484 98,011 10,769 
Commercial mortgage-backed securities - government issued— — 2,525 470 2,525 470 
Commercial mortgage-backed securities - government-sponsored enterprises893 20 26,465 4,450 27,358 4,470 
 $47,366 $495 $164,447 $22,969 $211,813 $23,464 
 December 31, 2022
 Less than 12 Months12 Months or LongerTotal
Fair ValueUnrealized
Losses
Fair ValueUnrealized
Losses
Fair ValueUnrealized
Losses
 (In Thousands)
Available-for-sale:
U.S. treasuries$— $— $4,446 $532 $4,446 $532 
U.S. government agency obligations - government-sponsored enterprises
— — 2,969 531 2,969 531 
Municipal securities
26,759 3,132 10,133 2,735 36,892 5,867 
Residential mortgage-backed securities - government issued9,624 436 9,807 1,923 19,431 2,359 
Residential mortgage-backed securities - government-sponsored enterprises
71,474 6,433 34,849 6,509 106,323 12,942 
Commercial mortgage-backed securities - government issued1,236 112 1,696 406 2,932 518 
Commercial mortgage-backed securities - government-sponsored enterprises7,758 984 18,619 4,154 26,377 5,138 
 $116,851 $11,097 $82,519 $16,790 $199,370 $27,887 
A summary of unrecognized loss information for securities held-to-maturity, categorized by security type and length of time for which the security has been in a continuous unrealized loss position, follows:
 December 31, 2023
 Less than 12 Months12 Months or LongerTotal
Fair ValueUnrealized
Losses
Fair ValueUnrealized
Losses
Fair ValueUnrealized
Losses
 (In Thousands)
Held-to-maturity:
Municipal securities
$1,424 $$2,234 $37 $3,658 $41 
Residential mortgage-backed securities - government issued
— — 1,135 76 1,135 76 
Residential mortgage-backed securities - government-sponsored enterprises
— — 1,025 53 1,025 53 
Commercial mortgage backed securities - government-sponsored enterprises— — 1,922 82 1,922 82 
 $1,424 $$6,316 $248 $7,740 $252 
 December 31, 2022
 Less than 12 Months12 Months or LongerTotal
Fair ValueUnrealized
Losses
Fair ValueUnrealized
Losses
Fair ValueUnrealized
Losses
 (In Thousands)
Held-to-maturity:
Municipal securities
$6,035 $52 $267 $18 $6,302 $70 
Residential mortgage-backed securities - government issued
1,518 107 — — 1,518 107 
Residential mortgage-backed securities - government-sponsored enterprises
1,444 93 — — 1,444 93 
Commercial mortgage-backed securities - government-sponsored enterprises1,904 102 — — 1,904 102 
 $10,901 $354 $267 $18 $11,168 $372