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INVESTMENT SECURITIES - Additional information (Details)
3 Months Ended 12 Months Ended
Dec. 31, 2023
USD ($)
item
security
Sep. 30, 2023
USD ($)
Jun. 30, 2023
USD ($)
Mar. 31, 2023
USD ($)
Dec. 31, 2022
USD ($)
Sep. 30, 2022
USD ($)
Jun. 30, 2022
USD ($)
Mar. 31, 2022
USD ($)
Dec. 31, 2023
USD ($)
item
security
Dec. 31, 2022
USD ($)
Dec. 31, 2021
USD ($)
Jan. 01, 2023
USD ($)
INVESTMENT SECURITIES                        
Gross investment losses                 $ 927,000 $ 5,000    
Other Comprehensive Income (Loss), Reclassification Adjustment from AOCI for Sale of Securities, Net of Tax                 729,000   $ (66,000)  
Other Comprehensive Income (Loss), Reclassification Adjustment from AOCI for Sale of Securities, Tax                 (193,000)   18,000  
Investment Securities:                        
Held to maturity securities, fair value $ 58,621,000       $ 55,192,000       58,621,000 55,192,000    
Equity securities 499,000       502,000       499,000 502,000    
Proceeds from sales of investment securities - available for sale                 16,772,000 1,519,000 960,000  
Book value of securities available for sale and held to maturity 135,624,000       134,002,000       135,624,000 134,002,000    
Gross investment gains                 5,000 5,000 84,000  
Gross investment losses                 $ 927,000 5,000    
Premium percentage on mortgage backed securities purchased                 100.80%      
Consolidated investment securities portfolio modified, years                 4 years 1 month 13 days      
Realized gain on equity securities                     36,000  
Unrealized gain on equity securities                     7,000  
FV-Ni Realized gain loss                 $ 0      
Realized loss on equity securities                   9,000    
Unrealized loss on equity securities                 0 13,000    
Held to maturity, allowance for credit losses 37,000               37,000     $ 114,000
Accrued interest receivable on held to maturity debt securities 388,000               388,000      
Held to maturity debt securities in non-accrual 0               0      
Available for Sale Securities, allowance for credit losses $ 926,000               $ 926,000      
Number of available for sale debt securities in non accrual status | security 1               1      
Available-for-Sale debt securities in non-accrual $ 926,000               $ 926,000      
Percentage of unrealized loss position for less than 12 months                 0.90%      
Percentage of unrealized loss position for greater than 12 months                 11.70%      
Assets 1,389,638,000       1,363,874,000       $ 1,389,638,000 1,363,874,000 1,335,560,000  
Net income (5,321,000) $ 647,000 $ (187,000) $ 1,515,000 947,000 $ 2,102,000 $ 1,981,000 $ 2,418,000 (3,346,000) 7,448,000 7,072,000  
Unpaid interest                 17,000      
Signature Bank                        
Investment Securities:                        
Assets 110,400,000,000               110,400,000,000      
Net income                 1,300,000,000      
U.S. Agency                        
Investment Securities:                        
Held to maturity securities, fair value 2,121,000       2,068,000       $ 2,121,000 2,068,000    
Available For Sale Securities Debt Maturities Weighted Average Maturity Term                 6 years 11 months 1 day      
Weighted Average Expected Maturity For Held To Maturity Securities                 6 years 8 months 19 days      
Held to maturity, allowance for credit losses $ 0               $ 0      
Unrealized loss position for greater than 12 months, Number of positions | item 7               7      
U.S. Agency mortgage-backed securities                        
Investment Securities:                        
Held to maturity securities, fair value $ 22,213,000       16,673,000       $ 22,213,000 16,673,000    
Available For Sale Securities Debt Maturities Weighted Average Maturity Term                 7 years 5 months 15 days      
Weighted Average Expected Maturity For Held To Maturity Securities                 8 years 10 months 6 days      
Held to maturity, allowance for credit losses $ 0               $ 0      
Unrealized loss position for less than 12 months, Number of positions | item 2               2      
Unrealized loss position for greater than 12 months, Number of positions | item 137               137      
Municipal                        
Investment Securities:                        
Held to maturity securities, fair value $ 29,990,000       $ 30,115,000       $ 29,990,000 $ 30,115,000    
Held to maturity, allowance for credit losses $ 2,000               $ 2,000     3,000
Unrealized loss position for greater than 12 months, Number of positions | item 32               32      
Corporate bonds.                        
Investment Securities:                        
Held to maturity, allowance for credit losses                       $ 111,000
Available for Sale Securities, allowance for credit losses $ 926,000               $ 926,000      
Unrealized loss position for less than 12 months, Number of positions | item 10               10      
Unrealized loss position for greater than 12 months, Number of positions | item 82               82      
Israel Jubilee Bonds                        
Investment Securities:                        
Investment securities - HTM, Carrying Value $ 2,000,000.0               $ 2,000,000.0      
Held to maturity securities, fair value 1,900,000               1,900,000      
Held to maturity securities $ 2,000,000.0               $ 2,000,000.0      
Held to maturity securities term                 3 years      
Corporate bonds.                        
Investment Securities:                        
Available For Sale Securities Debt Maturities Weighted Average Maturity Term                 3 years 8 months 19 days      
Weighted Average Expected Maturity For Held To Maturity Securities                 3 years 4 months 9 days      
Municipal                        
Investment Securities:                        
Available For Sale Securities Debt Maturities Weighted Average Maturity Term                 3 years 18 days      
Weighted Average Expected Maturity For Held To Maturity Securities                 4 years 8 months 8 days      
AAA/AA/A.                        
INVESTMENT SECURITIES                        
Portfolio rated 55.90%       52.50%       55.90% 52.50%    
Securities rated below A                        
INVESTMENT SECURITIES                        
Portfolio rated 15.10%       14.70%       15.10% 14.70%    
Deferred Compensation, Share-based Payments | Assets Held With Rabbi Trust                        
Investment Securities:                        
Equity securities $ 499,000       $ 502,000       $ 499,000 $ 502,000 $ 526,000