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Investment Securities (Tables)
6 Months Ended
Jun. 30, 2024
Investments, Debt and Equity Securities [Abstract]  
Schedule of Investment Securities
The amortized cost and estimated fair value of securities available-for-sale and held-to-maturity along with gross unrealized gains and losses are summarized as follows:
(dollars in thousands)
June 30, 2024Amortized
Cost
Gross
Unrealized
Gains
Gross
Unrealized
Losses
Fair Value
Securities Available-for-Sale:
U.S. treasury securities$7,068 $— $(10)$7,058 
U.S. agency securities4,238 — (390)3,848 
Asset backed securities22,182 (274)21,910 
State, county & municipal securities113,089 — (15,924)97,165 
Corporate debt securities53,337 — (6,613)46,724 
Mortgage-backed securities224,771 173 (25,069)199,875 
Total$424,685 $175 $(48,280)$376,580 
June 30, 2024Amortized
Cost
Gross
Unrealized
Gains
Gross
Unrealized
Losses
Fair Value
Securities Held-to-Maturity:
U.S. treasury securities$94,150 $— $(3,986)$90,164 
U.S. agency securities16,218 — (1,498)14,720 
State, county & municipal securities136,942 17 (15,586)121,373 
Mortgage-backed securities195,635 — (28,533)167,102 
Total$442,945 $17 $(49,603)$393,359 
December 31, 2023Amortized
Cost
Gross
Unrealized
Gains
Gross
Unrealized
Losses
Fair Value
Securities Available-for-Sale:
U.S. treasury securities$500 $— $(2)$498 
U.S. agency securities4,500 — (361)4,139 
Asset backed securities25,035 — (405)24,630 
State, county & municipal securities124,524 (15,494)109,036 
Corporate debt securities53,834 16 (6,460)47,390 
Mortgage-backed securities246,901 36 (25,248)221,689 
Total$455,294 $58 $(47,970)$407,382 
December 31, 2023Amortized
Cost
Gross
Unrealized
Gains
Gross
Unrealized
Losses
Fair Value
Securities Held-to-Maturity:
U.S. treasury securities$93,306 $— $(3,212)$90,094 
U.S. agency securities16,282 — (1,424)14,858 
State, county & municipal securities136,685 356 (13,859)123,182 
Mortgage-backed securities202,758 — (25,316)177,442 
Total$449,031 $356 $(43,811)$405,576 
Schedule of Amortized Cost and Fair Value of Investment Securities by Contractual Maturity This is often the case with mortgage-backed securities, which are disclosed separately in the table below.
Available-for-SaleHeld-to-Maturity
(dollars in thousands)Amortized CostFair ValueAmortized CostFair Value
Due in one year or less$9,283 $9,231 $19,839 $19,580 
Due after one year through five years16,080 14,713 88,816 84,362 
Due after five years through ten years101,749 87,331 67,878 59,370 
Due after ten years72,802 65,430 70,777 62,945 
$199,914 $176,705 $247,310 $226,257 
Mortgage-backed securities224,771 199,875 195,635 167,102 
$424,685 $376,580 $442,945 $393,359 
Schedule of Continuous Unrealized Loss Position
Information pertaining to available-for-sale securities with gross unrealized losses at June 30, 2024 and December 31, 2023 aggregated by investment category and length of time that individual securities have been in a continuous loss position is as
follows:
Less Than 12 Months12 Months or GreaterTotal
(dollars in thousands)Fair
Value
Gross
Unrealized
Losses
Fair
Value
Gross
Unrealized
Losses
Fair
Value
Gross
Unrealized
Losses
June 30, 2024
U.S. treasury securities$7,058 $(10)$— $— $7,058 $(10)
U.S. agency securities— — 3,848 (390)3,848 (390)
Asset backed securities10,079 (62)10,753 (212)20,832 (274)
State, county & municipal securities1,802 (155)95,148 (15,769)96,950 (15,924)
Corporate debt securities2,844 (556)43,880 (6,057)46,724 (6,613)
Mortgage-backed securities2,331 (7)183,863 (25,062)186,194 (25,069)
$24,114 $(790)$337,492 $(47,490)$361,606 $(48,280)
December 31, 2023
U.S. treasury securities$— $— $498 $(2)$498 $(2)
U.S. agency securities— — 4,139 (361)4,139 (361)
Asset backed securities6,196 (75)17,424 (330)23,620 (405)
State, county & municipal securities1,033 (138)107,443 (15,356)108,476 (15,494)
Corporate debt securities1,446 (105)45,044 (6,355)46,490 (6,460)
Mortgage-backed securities5,921 (49)212,876 (25,199)218,797 (25,248)
$14,596 $(367)$387,424 $(47,603)$402,020 $(47,970)
Information pertaining to held-to-maturity securities with gross unrealized losses at June 30, 2024 and December 31, 2023 aggregated by investment category and length of time that individual securities have been in a continuous loss position is as follows:
Less Than 12 Months12 Months or GreaterTotal
(dollars in thousands)Fair
Value
Gross
Unrealized
Losses
Fair
Value
Gross
Unrealized
Losses
Fair
Value
Gross
Unrealized
Losses
June 30, 2024
U.S. treasury securities$— $— $90,164 $(3,986)$90,164 $(3,986)
U.S. agency securities— — 14,720 (1,498)14,720 (1,498)
State, county & municipal securities11,588 (213)103,719 (15,373)115,307 (15,586)
Mortgage-backed securities— — 167,102 (28,533)167,102 (28,533)
$11,588 $(213)$375,705 $(49,390)$387,293 $(49,603)
December 31, 2023
U.S. treasury securities$— $— $90,094 $(3,212)$90,094 $(3,212)
U.S. agency securities— — 14,858 (1,424)14,858 (1,424)
State, county & municipal securities1,461 (78)103,500 (13,781)104,961 (13,859)
Mortgage-backed securities— — 177,442 (25,316)177,442 (25,316)
$1,461 $(78)$385,894 $(43,733)$387,355 $(43,811)