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Available-For-Sale Securities (Tables)
6 Months Ended
Jun. 30, 2023
Available-for-Sale Securities [Abstract]  
Schedule of Amortized Cost and Appropriate Fair Values, Together With Gross Unrealized Gains and Losses, of Securities The amortized cost and appropriate fair values, together with gross unrealized gains and losses, of securities at June 30, 2023 and December 31, 2022 were as follows:
       Gross   Gross     
   Amortized   Unrealized   Unrealized     
($ in thousands)  Cost   Gains   Losses   Fair Value 
June 30, 2023                 
U.S. Treasury and Government agencies  $8,137   $
       -
   $(934)  $7,203 
Mortgage-backed securities   231,984    3    (36,116)   195,871 
State and political subdivisions   12,312    8    (1,555)   10,765 
Other corporate securities   17,200    
-
    (3,043)   14,157 
Totals  $269,633   $11   $(41,648)  $227,996 
       Gross   Gross     
   Amortized   Unrealized   Unrealized     
   Cost   Gains   Losses   Fair Value 
December 31, 2022                
U.S. Treasury and Government agencies  $7,636   $
     -
   $(872)  $6,764 
Mortgage-backed securities   241,741    4    (35,910)   205,835 
State and political subdivisions   12,862    10    (1,769)   11,103 
Other corporate securities   17,200    
-
    (2,122)   15,078 
Totals  $279,439   $14   $(40,673)  $238,780 
Schedule of Amortized Cost and Fair Value of Securities Available-For-Sale By Contractual Maturity The amortized cost and fair value of securities available-for-sale at June 30, 2023, by contractual maturity, are shown below. Expected maturities will differ from contractual maturities because issuers may have the right to call or prepay obligations with or without call or prepayment penalties.
   Amortized   Fair 
($ in thousands)  Cost   Value 
         
Within one year  $1,338   $1,330 
Due after one year through five years   2,229    2,168 
Due after five years through ten years   24,868    20,880 
Due after ten years   9,214    7,747 
    37,649    32,125 
Mortgage-backed securities   231,984    195,871 
Totals  $269,633   $227,996 
Schedule of Securities With Unrealized Losses Securities with unrealized losses, aggregated by investment class and length of time that individual securities have been in a continuous unrealized loss position at June 30, 2023 and December 31, 2022, are as follows:
   Less than 12 Months   12 Months or Longer   Total 
($ in thousands)
June 30, 2023
  Fair Value   Unrealized Losses   Fair Value   Unrealized Losses   Fair Value   Unrealized Losses 
                         
U.S. Treasury and Government agencies  $1,585   $(66)  $5,365   $(868)  $6,950   $(934)
Mortgage-backed securities   15,575    (1,157)   179,986    (34,959)   195,561    (36,116)
State and political subdivisions   2,510    (80)   7,530    (1,475)   10,040    (1,555)
Other corporate securities   3,978    (872)   9,678    (2,171)   13,656    (3,043)
Totals  $23,648   $(2,175)  $202,559   $(39,473)  $226,207   $(41,648)
   Less than 12 Months   12 Months or Longer   Total 
December 31, 2022  Fair Value   Unrealized Losses   Fair Value   Unrealized Losses   Fair Value   Unrealized Losses 
                         
U.S. Treasury and Government agencies  $3,788   $(452)  $2,974   $(420)  $6,762   $(872)
Mortgage-backed securities   52,351    (5,234)   153,055    (30,676)   205,406    (35,910)
State and political subdivisions   7,461    (1,370)   1,268    (399)   8,729    (1,769)
Other corporate securities   12,015    (1,736)   2,564    (386)   14,579    (2,122)
Totals  $75,615   $(8,792)  $159,861   $(31,881)  $235,476   $(40,673)