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Investments (Tables)
3 Months Ended
Mar. 31, 2019
Investments, Debt and Equity Securities [Abstract]  
Schedule of Available-for-sale Securities

A summary of investment securities available-for-sale is as follows:

 

    As of March 31, 2019  
          Gross     Gross        
    Amortized     unrealized     unrealized     Estimated  
(Dollars in thousands)   cost     gains     losses     fair value  
                         
U. S. treasury securities   $ 2,296     $ -     $ (15 )   $ 2,281  
U. S. federal agency obligations     6,852       52       (19 )     6,885  
Municipal obligations, tax exempt     160,439       1,185       (957 )     160,667  
Municipal obligations, taxable     54,184       451       (121 )     54,514  
Agency mortgage-backed securities     156,757       747       (1,882 )     155,622  
Certificates of deposit     7,423       -       -       7,423  
Total available-for-sale   $ 387,951     $ 2,435     $ (2,994 )   $ 387,392  

 

    As of December 31, 2018  
          Gross     Gross        
    Amortized     unrealized     unrealized     Estimated  
(Dollars in thousands)   cost     gains     losses     fair value  
                         
U. S. treasury securities   $ 1,999     $ -     $ (28 )   $ 1,971  
U. S. federal agency obligations     10,370       32       (41 )     10,361  
Municipal obligations, tax exempt     161,529       353       (2,770 )     159,112  
Municipal obligations, taxable     53,178       180       (323 )     53,035  
Agency mortgage-backed securities     158,765       264       (2,953 )     156,076  
Certificates of deposit     7,790       -       -       7,790  
Total available-for-sale   $ 393,631     $ 829     $ (6,115 )   $ 388,345  

Schedule of Available for Sale Securities Continuous Unrealized Loss Position Fair Value

Securities which were temporarily impaired are shown below, along with the length of time in a continuous unrealized loss position.

 

          As of March 31, 2019  
(Dollars in thousands)         Less than 12 months     12 months or longer     Total  
    No. of     Fair     Unrealized     Fair     Unrealized     Fair     Unrealized  
    securities     value     losses     value     losses     value     losses  
U. S. treasury securities     1     $ -     $ -     $ 1,984     $ (15 )   $ 1,984     $ (15 )
U.S. federal agency obligations     4       -       -       4,624       (19 )     4,624       (19 )
Municipal obligations, tax exempt     164       2,662       (12 )     59,794       (945 )     62,456       (957 )
Municipal obligations, taxable     51       -       -       22,025       (121 )     22,025       (121 )
Agency mortgage-backed securities     89       -       -       92,597       (1,882 )     92,597       (1,882 )
Total     309     $ 2,662     $ (12 )   $ 181,024     $ (2,982 )   $ 183,686     $ (2,994 )

 

          As of December 31, 2018  
(Dollars in thousands)         Less than 12 months     12 months or longer     Total  
    No. of     Fair     Unrealized     Fair     Unrealized     Fair     Unrealized  
    securities     value     losses     value     losses     value     losses  
U. S. treasury securities     1     $ -     $ -     $ 1,971     $ (28 )   $ 1,971     $ (28 )
U. S. federal agency obligations     6       145       (1 )     7,970       (40 )     8,115       (41 )
Municipal obligations, tax exempt     296       35,898       (367 )     85,921       (2,403 )     121,819       (2,770 )
Municipal obligations, taxable     86       8,293       (22 )     28,984       (301 )     37,277       (323 )
Agency mortgage-backed securities     101       30,030       (146 )     96,155       (2,807 )     126,185       (2,953 )
Total     490     $ 74,366     $ (536 )   $ 221,001     $ (5,579 )   $ 295,367     $ (6,115 )

Schedule of Investments Classified by Contractual Maturity Date

Actual maturities will differ from contractual maturities because borrowers have the right to prepay obligations with or without prepayment penalties.

 

(Dollars in thousands)   Amortized     Estimated  
    cost     fair value  
Due in less than one year   $ 30,617     $ 30,568  
Due after one year but within five years     155,910       154,386  
Due after five years but within ten years     123,545       124,051  
Due after ten years     77,879       78,387  
Total   $ 387,951     $ 387,392  

Schedule of Realized Gain (loss)

Sales proceeds and gross realized gains and losses on sales of available-for-sale securities were as follows for the periods indicated:

 

(Dollars in thousands)   Three months ended March 31,  
    2019     2018  
Sales proceeds   $ -     $ 2,535  
Realized gains   $ -     $ 35  
Realized losses     -       -  
Net realized gains   $ -     $ 35