XML 37 R27.htm IDEA: XBRL DOCUMENT v3.21.2
Investments (Tables)
6 Months Ended
Jun. 30, 2021
Investments [Abstract]  
Unrealized Gain (Loss) on Investments

(in thousands)

    

Amortized
Cost

    

Gross
Unrealized
Gains

    

Gross
Unrealized
Losses

    

Fair
Value

    

OTTI
in AOCL

June 30, 2021

Available for Sale:

U.S. government agencies

$

59,703

$

367

$

1,949

$

58,121

$

Residential mortgage-backed agencies

32,027

545

31,482

Commercial mortgage-backed agencies

54,361

306

477

54,190

Collateralized mortgage obligations

73,559

144

1,547

72,156

Obligations of states and political subdivisions

9,417

417

9,834

Collateralized debt obligations

18,579

2,349

16,230

(1,415)

Total available for sale

$

247,646

$

1,234

$

6,867

$

242,013

$

(1,415)

Held to Maturity:

Residential mortgage-backed agencies

$

35,595

$

879

$

327

$

36,147

$

Commercial mortgage-backed agencies

9,747

397

10,144

Collateralized mortgage obligations

118

1

119

Obligations of states and political subdivisions

20,223

8,941

29,164

Total held to maturity

$

65,683

$

10,218

$

327

$

75,574

$

December 31, 2020

Available for Sale:

U.S. government agencies

$

75,856

$

899

$

322

$

76,433

$

Residential mortgage-backed agencies

22,999

100

22,899

Commercial mortgage-backed agencies

32,549

529

36

33,042

Collateralized mortgage obligations

70,372

266

1

70,637

Obligations of states and political subdivisions

10,144

470

10,614

Collateralized debt obligations

18,544

5,284

13,260

(3,839)

Total available for sale

$

230,464

$

2,164

$

5,743

$

226,885

$

(3,839)

Held to Maturity:

Residential mortgage-backed agencies

$

34,597

$

1,173

$

38

$

35,732

$

Commercial mortgage-backed agencies

11,716

587

12,303

Collateralized mortgage obligations

1,348

58

1,406

Obligations of states and political subdivisions

20,602

7,569

28,171

Total held to maturity

$

68,263

$

9,387

$

38

$

77,612

$

Gross Unrealized Losses and Fair Values of Securities

Less than 12 months

12 months or more

(in thousands)

    

Fair
Value

    

Unrealized
Losses

    

Number of
Investments

    

Fair
Value

    

Unrealized
Losses

    

Number of
Investments

June 30, 2021

Available for Sale:

U.S. government agencies

$

34,409

$

1,949

6

$

$

Residential mortgage-backed agencies

31,481

545

3

Commercial mortgage-backed agencies

24,748

477

3

Collateralized mortgage obligations

65,230

1,547

7

Collateralized debt obligations

16,230

2,349

9

Total available for sale

$

155,868

$

4,518

19

$

16,230

$

2,349

9

Held to Maturity:

Residential mortgage-backed agencies

8,268

327

3

Total held to maturity

$

8,268

$

327

3

$

$

December 31, 2020

Available for Sale:

U.S. government agencies

$

39,611

$

322

7

$

$

Residential mortgage-backed agencies

22,899

100

2

Commercial mortgage-backed agencies

16,034

36

1

Collateralized mortgage obligations

39,628

1

4

Collateralized debt obligations

13,260

5,284

9

Total available for sale

$

118,172

$

459

14

$

13,260

$

5,284

9

Held to Maturity:

Residential mortgage-backed agencies

$

2,973

$

38

1

$

$

Total held to maturity

$

2,973

$

38

1

$

$

Non-Cash OTTI Credit Losses Recognized in Earnings

Six Months Ended

June 30,

(in thousands)

    

2021

    

2020

Balance of credit-related OTTI at January 1

$

2,244

$

2,446

Reduction for increases in cash flows expected to be collected

(101)

(101)

Balance of credit-related OTTI at June 30

$

2,143

$

2,345

Three Months Ended

June 30,

(in thousands)

2021

2020

Balance of credit-related OTTI at April 1

$

2,194

$

2,396

Reduction for increases in cash flows expected to be collected

(51)

(51)

Balance of credit-related OTTI at June 30

$

2,143

$

2,345

Amortized Cost and Fair Values Classified by Contractual Maturity Date

June 30, 2021

(in thousands)

    

Amortized
Cost

    

Fair
Value

Contractual Maturity

Available for Sale:

Due after one year through five years

$

4,411

$

4,489

Due after five years through ten years

10,063

10,238

Due after ten years

73,225

69,458

87,699

84,185

Residential mortgage-backed agencies

32,027

31,482

Commercial mortgage-backed agencies

54,361

54,190

Collateralized mortgage obligations

73,559

72,156

Total available for sale

$

247,646

$

242,013

Held to Maturity:

Due after ten years

$

20,223

$

29,164

Residential mortgage-backed agencies

35,595

36,147

Commercial mortgage-backed agencies

9,747

10,144

Collateralized mortgage obligations

118

119

Total held to maturity

$

65,683

$

75,574