XML 29 R19.htm IDEA: XBRL DOCUMENT v3.19.2
Fair Value of Assets and Liabilities - (Tables)
6 Months Ended
Jun. 30, 2019
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis
The following table summarizes our assets and liabilities that were required to be recorded at fair value on a recurring basis.
(in thousands)  
Description of Financial Instruments
Carrying Value

Quoted Prices in Active Markets for Identical Assets (Level 1)

Significant Other Observable Inputs
(Level 2)

Significant Unobservable Inputs 
(Level 3)

Measurement Categories: Changes in Fair Value Recorded In1
June 30, 2019
 

 
 

 

 
Securities available-for-sale:
 
 
 
 
 
Mortgage-backed securities and collateralized mortgage obligations issued by U.S. government-sponsored agencies
$
258,115

$

$
258,115

$

OCI
SBA-backed securities
39,805


39,805


OCI
Debentures of government sponsored agencies
28,784


28,784


OCI
Privately-issued collateralized mortgage obligations
159


159


OCI
Obligations of state and political subdivisions
49,259


49,259


OCI
Corporate bonds
2,009


2,009


OCI
Derivative financial assets (interest rate contracts)




NI
Derivative financial liabilities (interest rate contracts)
1,118


1,118


NI
December 31, 2018
 

 
 

 

 
Securities available-for-sale:
 

 
 

 

 
Mortgage-backed securities and collateralized mortgage obligations issued by U.S. government-sponsored agencies
$
278,403

$

$
278,403

$

OCI
SBA-backed securities
50,781


50,781


OCI
Debentures of government sponsored agencies
53,018


53,018


OCI
Privately-issued collateralized mortgage obligations
297


297


OCI
Obligations of state and political subdivisions
77,960


77,960


OCI
Corporate bonds
2,005


2,005


OCI
Derivative financial assets (interest rate contracts)
161


161


NI
Derivative financial liabilities (interest rate contracts)
375


375


NI

 1 Other comprehensive income ("OCI") or net income ("NI").
Schedule of Fair Value by Balance Sheet Grouping
The table below is a summary of fair value estimates for financial instruments as of June 30, 2019 and December 31, 2018, excluding financial instruments recorded at fair value on a recurring basis (summarized in the first table in this note). The carrying amounts in the following table are recorded in the consolidated statements of condition under the indicated captions. Further, we have not disclosed the fair value of financial instruments specifically excluded from disclosure requirements such as bank-owned life insurance policies ("BOLI") and non-maturity deposit liabilities. Additionally, we hold shares of FHLB stock and Visa Inc. Class B common stock, both recorded at cost, as there was no impairment or changes resulting from observable price changes in orderly transactions for the identical or a similar investment of the same issuer as of June 30, 2019 and December 31, 2018. The values are discussed in Note 4, Investment Securities.
 
June 30, 2019
 
December 31, 2018
(in thousands)
Carrying Amounts

Fair Value

Fair Value Hierarchy
 
Carrying Amounts

Fair Value

Fair Value Hierarchy
Financial assets (recorded at amortized cost)
 
 
 
 
 
 
Cash and cash equivalents
$
58,757

$
58,757

Level 1
 
$
34,221

$
34,221

Level 1
Investment securities held-to-maturity
148,879

151,118

Level 2
 
157,206

153,894

Level 2
Loans, net
1,749,044

1,760,974

Level 3
 
1,748,043

1,700,971

Level 3
Interest receivable
8,071

8,071

Level 2
 
8,292

8,292

Level 2
Financial liabilities (recorded at amortized cost)
 

 
 
 
 

 
Time deposits
104,306

103,359

Level 2
 
117,182

116,584

Level 2
Federal Home Loan Bank overnight borrowings


Level 2
 
7,000

7,000

Level 2
Subordinated debentures
2,674

3,289

Level 3
 
2,640

3,268

Level 3
Interest payable
115

115

Level 2
 
104

104

Level 2