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INVESTMENT SECURITIES (Schedule of Maturities of the Debt Securities and the Mortgage-Backed Securities Held-To-Maturity) (Details) - USD ($)
$ in Thousands
Sep. 30, 2021
Sep. 30, 2020
Held to Maturity Securities, Amortized Cost    
Due within 1 year  
Due after 1 but within 5 years 9,497  
Due after 5 but within 10 years 7,532  
Due after 10 years 516  
Total debt securities 17,545  
Mortgage backed securities, Residential [1] 39,412  
Mortgage backed securities, Commercial [2] 703  
Amortized cost 57,660 $ 30,443
Held to Maturity Securities, Fair Value    
Due within 1 year  
Due after 1 but within 5 years 9,249  
Due after 5 but within 10 years 7,405  
Due after 10 years 505  
Total debt securities 17,159  
Mortgage Backed Securities, Residential [1] 39,420  
Mortgage Backed Securities, Commercial [2] 703  
Fair value $ 57,282 $ 30,899
[1] Held-to-maturity mortgage-backed securities – residential include an amortized cost of $574,000 and a fair value of $549,000 for obligations of U.S. government agencies issued by the Government National Mortgage Association and obligations of U.S. government-sponsored enterprises issued by Federal National Mortgage Association and Federal Home Loan Mortgage Corporation which had an amortized cost of $38.6 million and a fair value of $38.6 million. Also included are mortgage backed securities issued by non-U.S. government agencies and government-sponsored enterprises with an amortized cost of $242,000 and a fair value of $248,000.
[2] Held-to-maturity mortgage-backed securities – commercial include an amortized cost of $703,000 and a fair value of $703,000 for obligations of U.S. government agencies issued by the Small Business Administration.