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Fair Value Measurements And Fair Values Of Financial Instruments (Tables)
6 Months Ended
Jun. 30, 2021
Fair Value Measurements And Fair Values Of Financial Instruments [Abstract]  
Schedule Of Fair Value, Assets And Liabilities Measured On Recurring Basis

(Dollars in thousands)

Fair Value at June 30, 2021

Asset Description

Level 1

Level 2

Level 3

Total

Equity securities, at fair value

$

482

$

$

$

482

Available for sale:

U.S. Government and Agency securities

69,074

10,644

79,718

Municipal securities

227,268

227,268

Corporate securities

24,411

24,411

Agency mortgage-backed securities

117,123

117,123

Private-label mortgage-backed securities

20,062

20,062

Asset-backed securities

43,665

43,665

Total assets

$

69,556

$

443,173

$

$

512,729

(Dollars in thousands)

Fair Value at December 31, 2020

Asset Description

Level 1

Level 2

Level 3

Total

Equity securities, at fair value

$

391

$

$

$

391

Available for sale:

U.S. Government and Agency securities

12,574

12,574

Municipal securities

247,054

247,054

Corporate securities

20,288

20,288

Agency mortgage-backed securities

72,241

72,241

Private-label mortgage-backed securities

8,453

8,453

Asset-backed securities

36,330

36,330

Total assets

$

391

$

396,940

$

$

397,331

Schedule Of Fair Value On A Nonrecurring Basis

(Dollars in Thousands)

Fair Value at December 31, 2020

Asset Description

Level 1

Level 2

Level 3

Total

Impaired loans (1)

$

$

$

5,474

$

5,474

Total assets

$

$

$

5,474

$

5,474

(1)Includes assets that may have been charged-down to fair value during the reporting period or may have a specific reserve established.

Fair Value Inputs, Assets, Quantitative Information

(Dollars in thousands)

Range

June 30, 2021

Fair Value

Valuation Technique

Unobservable Input

Weighted Average

Impaired loans

$

5,474

Appraisal

Appraisal Adjustment on

0%-100% (66%)

Non-real estate assets

Cost to sell

8%

Range

December 31, 2020

Fair Value

Valuation Technique

Unobservable Input

(Weighted Average)

Impaired Loans

$

5,474

Appraisal

Appraisal Adjustment

0% - 100% (66%)

Cost to sell

8%

Fair Value, By Balance Sheet Grouping

June 30, 2021

Carrying

Fair

(Dollars in thousands)

Amount

Value

Level 1

Level 2

Level 3

Financial assets, carried at cost:

Cash and cash equivalents

$

98,131

$

98,131

$

98,131

$

$

Long-term interest-bearing deposits in other banks

10,492

10,492

10,492

Loans held for sale

5,537

5,598

5,598

Net loans

983,980

1,007,488

1,007,488

Accrued interest receivable

6,059

6,059

6,059

Financial liabilities:

Deposits

$

1,491,208

$

1,535,180

$

$

1,535,180

$

Subordinate notes

19,571

20,215

20,215

Accrued interest payable

94

94

94

December 31, 2020

Carrying

Fair

(Dollars in thousands)

Amount

Value

Level 1

Level 2

Level 3

Financial assets, carried at cost:

Cash and cash equivalents

$

57,146

$

57,146

$

57,146

$

$

Long-term interest-bearing deposits in other banks

12,741

12,741

12,741

Loans held for sale

9,446

9,446

9,446

9,446

Net loans

992,915

990,867

990,867

Accrued interest receivable

6,410

6,410

6,410

Financial liabilities:

Deposits

$

1,354,573

$

1,355,086

$

$

1,355,086

$

Subordinate notes

19,555

19,750

19,750

Accrued interest payable

180

180

180