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Securities (Tables)
9 Months Ended
Sep. 30, 2021
Securities  
Schedule of amortized cost and fair value of securities

September 30, 2021

Gross

Gross

# of Securities

Amortized

unrealized

unrealized

Fair

in unrealized

(dollars in thousands)

    

cost

    

gains

    

losses

    

value

loss position

Securities available-for-sale:

U.S. asset backed securities

$

21,120

199

(26)

21,293

4

U.S. government agency mortgage-backed securities

5,351

137

(29)

5,459

1

U.S. government agency collateralized mortgage obligations

23,712

483

(142)

24,053

7

State and municipal securities

72,415

874

(461)

72,828

23

U.S. Treasuries

15,082

6

(78)

15,010

11

Non-U.S. government agency collateralized mortgage obligations

999

999

1

Corporate bonds

6,450

73

(16)

6,507

4

Total securities available-for-sale

$

145,129

1,772

(752)

146,149

51

Securities held-to-maturity:

State and municipal securities

6,406

254

6,660

Total securities held-to-maturity

$

6,406

254

6,660

December 31, 2020

Gross

Gross

# of Securities

Amortized

unrealized

unrealized

Fair

in unrealized

(dollars in thousands)

    

cost

    

gains

    

losses

    

value

loss position

Securities available-for-sale:

U.S. asset backed securities

$

25,303

364

(75)

25,592

8

U.S. government agency mortgage-backed securities

3,854

192

4,046

U.S. government agency collateralized mortgage obligations

23,010

916

(17)

23,909

1

State and municipal securities

63,848

2,025

(63)

65,810

3

Corporate bonds

4,200

7

(2)

4,205

2

Total securities available-for-sale

$

120,215

3,504

(157)

123,562

14

Securities held-to-maturity:

State and municipal securities

6,510

347

6,857

Total securities held-to-maturity

$

6,510

347

6,857

Schedule of investment gross unrealized loss in continuous unrealized loss position

September 30, 2021

Less than 12 Months

12 Months or more

Total

Fair

Unrealized

Fair

Unrealized

Fair

Unrealized

(dollars in thousands)

    

value

    

losses

    

value

    

losses

    

value

    

losses

Securities available-for-sale:

U.S. asset backed securities

$

4,158

(26)

4,158

(26)

U.S. government agency mortgage-backed securities

1,614

(29)

1,614

(29)

U.S. government agency collateralized mortgage obligations

7,315

(142)

7,315

(142)

State and municipal securities

34,808

(451)

568

(10)

35,376

(461)

U.S. Treasuries

12,049

(78)

12,049

(78)

Corporate bonds

2,244

(6)

439

(10)

2,683

(16)

Total securities available-for-sale

$

62,188

(732)

1,007

(20)

63,195

(752)

December 31, 2020

Less than 12 Months

12 Months or more

Total

Fair

Unrealized

Fair

Unrealized

Fair

Unrealized

(dollars in thousands)

    

value

    

losses

    

value

    

losses

    

value

    

losses

Securities available-for-sale:

U.S. asset backed securities

$

2,884

(4)

7,443

(71)

10,327

(75)

U.S. government agency collateralized mortgage obligations

2,284

(17)

2,284

(17)

State and municipal securities

4,163

(63)

4,163

(63)

Corporate bonds

1,198

(2)

1,198

(2)

Total securities available-for-sale

$

10,529

(86)

7,443

(71)

17,972

(157)

Schedule of amortized cost and carrying value of held-to-maturity securities and available-for-sale securities by contractual maturity

September 30, 2021

December 31, 2020

Available-for-sale

Held-to-maturity

Available-for-sale

Held-to-maturity

Amortized

Fair

Amortized

Fair

Amortized

Fair

Amortized

Fair

(dollars in thousands)

    

cost

    

value

    

cost

    

value

    

cost

    

value

    

cost

    

value

Investment securities:

Due in one year or less

$

$

Due after one year through five years

3,133

3,197

3,181

3,288

Due after five years through ten years

28,999

29,010

3,273

3,463

12,035

12,095

3,329

3,569

Due after ten years

86,068

86,628

81,316

83,512

Subtotal

115,067

115,638

6,406

6,660

93,351

95,607

6,510

6,857

Mortgage-related securities

30,062

30,511

26,864

27,955

Total

$

145,129

146,149

6,406

6,660

$

120,215

123,562

6,510

6,857