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Securities (Tables)
12 Months Ended
Dec. 31, 2021
Securities [Abstract]  
Summary of Disaggregated Net Losses on Equity Securities For the Twelve Months Ended December 31, 2021 For the Twelve Months Ended December 31, 2020Net gains recognized during the period on equity securities$ 147$ 1,790Less: Net gains (losses) recognized during the period on equity securities sold during the period - 40Unrealized gains recognized during the reporting period on equity securities still held at the reporting date$ 147$ 1,750
Amortized Cost and Gross Unrealized Gains and Losses on Securities Available for Sale December 31, 2021   Gross  Gross   Amortized Unrealized Unrealized Cost Gains Losses Fair Value (In Thousands)Residential Mortgage-backed securities:          Due within one year$ 2,952  $ - $ 114  $ 2,838 More than one to five years 53  - - 53 More than five to ten years 6,317  165  27  6,455 More than ten years 21,555  298  287  21,566 Sub-total: 30,877  463  428  30,912  Corporate Debt Securities: More than five to ten years 47,765  2,465  159  50,071 Sub-total: 47,765  2,465  159  50,071  Municipal obligations: Due after ten years 4,104  99    -   4,203 Sub-total: 4,104  99  - 4,203  Total Debt Securities Available-for-Sale$ 82,746  $ 3,027  $ 587  $ 85,186  December 31, 2020   Gross  Gross   Amortized Unrealized Unrealized Cost Gains Losses Fair Value (In Thousands)Residential Mortgage-backed securities          More than one to five years$ 3,208   $ 10   $ 67   $ 3,151 More than five to ten years 4,799  163  - 4,962 More than ten years 40,531  741  60  41,212 Sub-total: 48,538  914  127  49,325  Corporate Debt Securities: More than five to ten years 32,279  1,719  13  33,985 Sub-total: 32,279  1,719  13  33,985  Municipal obligations: Due within one year 12,048  -   - 12,048 Due after ten years 4,209    189    -   4,398 Sub-total: 16,257  189  - 16,446  Total Debt Securities Available-for-Sale$ 97,074  $ 2,822  $ 140  $ 99,756 
Available-for-sale Securities, Continuous Unrealized Loss Position, Fair Value Less than 12 Months More than 12 Months Total Fair Unrealized Fair Unrealized Fair Unrealized Value Losses Value Losses Value Losses (In Thousands)December 31, 2021 Residential mortgage-backed securities$ 7,801 $ 159 $ 4,681 $ 269 $ 12,482  $ 428Corporate Debt Securities 12,324 159 - - 12,324 159 $ 20,125 $ 318 $ 4,681 $ 269 $ 24,806  $ 587 December 31, 2020 Residential mortgage-backed securities$ 6,126  $ 60  $ 1,278  $ 67  $ 7,404  $ 127 Corporate Debt Securities 5,487  13  - - 5,487  13  $ 11,613  $ 73  $ 1,278  $ 67  $ 12,891   $ 140