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SECURITIES - Schedule Of Debt Securities Held To Maturity Securities Unrealized Loss Position Fair Value (Details)
$ in Thousands
Dec. 31, 2023
USD ($)
No
Jun. 30, 2023
USD ($)
No
Debt Securities, Available-for-Sale [Abstract]    
Number of Securities Less Than Twelve Months | No 0 20
Number of Securities Over Twelve Months | No 36 20
Gross Unrealized Losses Less Than Twelve Months $ 0 $ 2
Gross Unrealized Losses Over Twelve Months 2 3
Fair Value Less Than Twelve Months 0 71
Fair Value Over Twelve Months $ 114 $ 67
Depreciation from Amortized Cost Basis Less Than Twelve Months 0.00% 2.70%
Depreciation from Amortized Cost Basis Over Twelve Months 1.70% 4.30%
Agency Securities [Member]    
Debt Securities, Held To Maturity [Abstract]    
Number of Securities Less Than Twelve Months | No 12 48
Number of Securities over Twelve Months | No 210 188
Gross Unrealized Losses Less Than Twelve Months $ 57 $ 799
Gross Unrealized Losses Over Twelve Months 12,770 14,833
Fair Value Less Than Twelve Months 11,345 27,270
Fair Value Over Twelve Months $ 113,027 $ 100,486
Depreciation from Amortized Cost Basis Less Than Twelve Months 0.50% 2.80%
Depreciation from Amortized Cost Basis more Twelve Months 10.20% 12.90%
Mortgage-Backed Securities, Issued by US Government Sponsored Enterprises [Member]    
Debt Securities, Available-for-Sale [Abstract]    
Number of Securities Less Than Twelve Months | No   20
Number of Securities Over Twelve Months | No 36 20
Gross Unrealized Losses Less Than Twelve Months $ 0 $ 2
Gross Unrealized Losses Over Twelve Months 2 3
Fair Value Less Than Twelve Months 0 71
Fair Value Over Twelve Months $ 114 $ 67
Depreciation from Amortized Cost Basis Less Than Twelve Months 0.00% 2.70%
Depreciation from Amortized Cost Basis Over Twelve Months 1.70% 4.30%
Mortgage-Backed Securities, Issued by US Government Sponsored Enterprises [Member] | Agency Securities [Member]    
Debt Securities, Held To Maturity [Abstract]    
Number of Securities Less Than Twelve Months | No 5 27
Number of Securities over Twelve Months | No 128 115
Gross Unrealized Losses Less Than Twelve Months $ 10 $ 336
Gross Unrealized Losses Over Twelve Months 2,513 3,164
Fair Value Less Than Twelve Months 5,150 10,494
Fair Value Over Twelve Months $ 37,595 $ 32,597
Depreciation from Amortized Cost Basis Less Than Twelve Months 0.20% 3.10%
Depreciation from Amortized Cost Basis more Twelve Months 6.30% 8.80%
Government-sponsored enterprises: Debt obligations [Member] | Agency Securities [Member]    
Debt Securities, Held To Maturity [Abstract]    
Number of Securities Less Than Twelve Months | No 0 1
Number of Securities over Twelve Months | No 1 0
Gross Unrealized Losses Less Than Twelve Months $ 0 $ 34
Gross Unrealized Losses Over Twelve Months 19 0
Fair Value Less Than Twelve Months 0 962
Fair Value Over Twelve Months $ 978 $ 0
Depreciation from Amortized Cost Basis Less Than Twelve Months 0.00% 3.40%
Depreciation from Amortized Cost Basis more Twelve Months 1.90% 0.00%
Municipal Bonds [Member] | Agency Securities [Member]    
Debt Securities, Held To Maturity [Abstract]    
Number of Securities Less Than Twelve Months | No 5 11
Number of Securities over Twelve Months | No 38 35
Gross Unrealized Losses Less Than Twelve Months $ 14 $ 111
Gross Unrealized Losses Over Twelve Months 5,983 6,312
Fair Value Less Than Twelve Months 3,228 6,280
Fair Value Over Twelve Months $ 28,699 $ 27,676
Depreciation from Amortized Cost Basis Less Than Twelve Months 0.40% 1.70%
Depreciation from Amortized Cost Basis more Twelve Months 17.30% 18.60%
Corporate Bond Securities [Member] | Agency Securities [Member]    
Debt Securities, Held To Maturity [Abstract]    
Number of Securities Less Than Twelve Months | No 2 9
Number of Securities over Twelve Months | No 43 38
Gross Unrealized Losses Less Than Twelve Months $ 33 $ 318
Gross Unrealized Losses Over Twelve Months 4,255 5,357
Fair Value Less Than Twelve Months 2,967 9,534
Fair Value Over Twelve Months $ 45,755 $ 40,213
Depreciation from Amortized Cost Basis Less Than Twelve Months 1.10% 3.20%
Depreciation from Amortized Cost Basis more Twelve Months 8.50% 11.80%