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Investment Securities - Summary of Investment Securities With Unrealized Losses (Details)
$ in Thousands
Dec. 31, 2019
USD ($)
Security
Dec. 31, 2018
USD ($)
Security
Schedule Of Available For Sale Securities [Line Items]    
Less than Twelve Months Unrealized Losses $ (56) $ (73)
Less than Twelve Months Estimated Fair Value $ 11,410 $ 6,240
Less than Twelve Months No. of Issuances | Security 11 5
Twelve Months or More Unrealized Losses $ (39) $ (1,934)
Twelve Months or More Estimated Fair Value $ 4,865 $ 46,498
Twelve Months or More No. of Issuances | Security 8 41
Total Unrealized Losses $ (95) $ (2,007)
Total Estimated Fair Value $ 16,275 $ 52,738
Available for sale, Total No. of Issuances | Security 19 46
Held to maturity, Less than Twelve Months Unrealized Losses   $ (104)
Held to maturity, Less than Twelve Months Estimated Fair Value   $ 2,468
Held to maturity, Less than Twelve Months, No. of Issuances | Security   6
Held to maturity, Twelve Months or More Unrealized Losses   $ (60)
Held to maturity, Twelve Months or More Estimated Fair Value   $ 2,174
Held to maturity, Twelve Months or More, No. of Issuances | Security   4
Held to maturity, Total Unrealized Losses   $ (164)
Held to maturity, Total Estimated Fair Value   $ 4,642
Held to maturity, Total No. of Issuances | Security   10
Government Agency Securities    
Schedule Of Available For Sale Securities [Line Items]    
Less than Twelve Months Unrealized Losses $ (19)  
Less than Twelve Months Estimated Fair Value $ 1,572  
Less than Twelve Months No. of Issuances | Security 2  
Twelve Months or More Unrealized Losses   $ (58)
Twelve Months or More Estimated Fair Value   $ 1,815
Twelve Months or More No. of Issuances | Security   2
Total Unrealized Losses $ (19) $ (58)
Total Estimated Fair Value $ 1,572 $ 1,815
Available for sale, Total No. of Issuances | Security 2 2
SBA Securities    
Schedule Of Available For Sale Securities [Line Items]    
Less than Twelve Months Unrealized Losses $ (22)  
Less than Twelve Months Estimated Fair Value $ 1,469  
Less than Twelve Months No. of Issuances | Security 2  
Twelve Months or More Unrealized Losses   $ (185)
Twelve Months or More Estimated Fair Value   $ 5,169
Twelve Months or More No. of Issuances | Security   4
Total Unrealized Losses $ (22) $ (185)
Total Estimated Fair Value $ 1,469 $ 5,169
Available for sale, Total No. of Issuances | Security 2 4
Mortgage-Backed Securities - Government Sponsored Agencies    
Schedule Of Available For Sale Securities [Line Items]    
Less than Twelve Months Unrealized Losses $ (5) $ (12)
Less than Twelve Months Estimated Fair Value $ 2,631 $ 1,640
Less than Twelve Months No. of Issuances | Security 4 1
Twelve Months or More Unrealized Losses $ (24) $ (572)
Twelve Months or More Estimated Fair Value $ 3,912 $ 20,901
Twelve Months or More No. of Issuances | Security 6 23
Total Unrealized Losses $ (29) $ (584)
Total Estimated Fair Value $ 6,543 $ 22,541
Available for sale, Total No. of Issuances | Security 10 24
Collateralized Mortgage Obligations    
Schedule Of Available For Sale Securities [Line Items]    
Less than Twelve Months Unrealized Losses $ (10)  
Less than Twelve Months Estimated Fair Value $ 5,738  
Less than Twelve Months No. of Issuances | Security 3  
Twelve Months or More Unrealized Losses $ (15) $ (631)
Twelve Months or More Estimated Fair Value $ 953 $ 12,065
Twelve Months or More No. of Issuances | Security 2 8
Total Unrealized Losses $ (25) $ (631)
Total Estimated Fair Value $ 6,691 $ 12,065
Available for sale, Total No. of Issuances | Security 5 8
Corporate Debt Securities    
Schedule Of Available For Sale Securities [Line Items]    
Less than Twelve Months Unrealized Losses   $ (61)
Less than Twelve Months Estimated Fair Value   $ 4,600
Less than Twelve Months No. of Issuances | Security   4
Twelve Months or More Unrealized Losses   $ (488)
Twelve Months or More Estimated Fair Value   $ 6,548
Twelve Months or More No. of Issuances | Security   4
Total Unrealized Losses   $ (549)
Total Estimated Fair Value   $ 11,148
Available for sale, Total No. of Issuances | Security   8
Municipal Securities    
Schedule Of Available For Sale Securities [Line Items]    
Held to maturity, Less than Twelve Months Unrealized Losses   $ (104)
Held to maturity, Less than Twelve Months Estimated Fair Value   $ 2,468
Held to maturity, Less than Twelve Months, No. of Issuances | Security   6
Held to maturity, Twelve Months or More Unrealized Losses   $ (60)
Held to maturity, Twelve Months or More Estimated Fair Value   $ 2,174
Held to maturity, Twelve Months or More, No. of Issuances | Security   4
Held to maturity, Total Unrealized Losses   $ (164)
Held to maturity, Total Estimated Fair Value   $ 4,642
Held to maturity, Total No. of Issuances | Security   10