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FAIR VALUE - Recurring Basis (Details) - USD ($)
$ in Thousands
Mar. 31, 2022
Jun. 30, 2021
FAIR VALUE    
Total debt securities $ 417,743 $ 264,602
Equity securities 2,220 2,879
Municipal obligations    
FAIR VALUE    
Total debt securities 89,839 47,797
Other debt securities    
FAIR VALUE    
Total debt securities 643 764
Level 1    
FAIR VALUE    
Total debt securities 327,261 216,041
Equity securities 2,220 2,879
Level 2    
FAIR VALUE    
Total debt securities 90,482 48,561
Derivative assets 4,123 25,319
Derivative liabilities 6,597 637
Recurring basis    
FAIR VALUE    
Total debt securities 417,743 264,602
Equity securities 2,220 2,879
Derivative assets 4,123 25,319
Total assets 424,086 292,800
Derivative liabilities 6,597 637
Total liabilities 6,597 637
Recurring basis | U.S. Government and agency obligations    
FAIR VALUE    
Total debt securities 327,261 216,041
Recurring basis | Municipal obligations    
FAIR VALUE    
Total debt securities 89,839 47,797
Recurring basis | Other debt securities    
FAIR VALUE    
Total debt securities 643 764
Recurring basis | Level 1    
FAIR VALUE    
Total debt securities 327,261 216,041
Equity securities 2,220 2,879
Total assets 329,481 218,920
Recurring basis | Level 1 | U.S. Government and agency obligations    
FAIR VALUE    
Total debt securities 327,261 216,041
Recurring basis | Level 2    
FAIR VALUE    
Total debt securities 90,482 48,561
Derivative assets 4,123 25,319
Total assets 94,605 73,880
Derivative liabilities 6,597 637
Total liabilities 6,597 637
Recurring basis | Level 2 | Municipal obligations    
FAIR VALUE    
Total debt securities 89,839 47,797
Recurring basis | Level 2 | Other debt securities    
FAIR VALUE    
Total debt securities $ 643 $ 764