Quarterly report pursuant to Section 13 or 15(d)

Note 6 - Securities (Tables)

v3.23.1
Note 6 - Securities (Tables)
3 Months Ended
Mar. 31, 2023
Notes Tables  
Debt Securities, Available-for-Sale [Table Text Block]
   

(Dollars in thousands)

 
           

Gross

   

Gross

   

Estimated

 
   

Cost

   

Unrealized

   

Unrealized

   

Fair

 
   

Basis

   

Gains

   

Losses

   

Value

 

March 31, 2023

                               

U.S. government sponsored entities

  $ 8,883     $ -     $ (1,141 )     7,742  

U.S. treasury securities

    389       -       -       389  

Collateralized mortgage obligations and residential mortgage-backed securities

    159,376       -       (26,067 )     133,309  

Municipal securities

    280,604       69       (45,229 )     235,444  

Collateralized debt obligations

    2,173       -       (1,156 )     1,017  

Total securities available-for-sale

  $ 451,425     $ 69     $ (73,593 )   $ 377,901  
   

(Dollars in thousands)

 
           

Gross

   

Gross

   

Estimated

 
   

Cost

   

Unrealized

   

Unrealized

   

Fair

 
   

Basis

   

Gains

   

Losses

   

Value

 

December 31, 2022

                               

U.S. government sponsored entities

  $ 8,883     $ -     $ (1,258 )   $ 7,625  

U.S. treasury securities

    389       -       -       389  

Collateralized mortgage obligations and residential mortgage-backed securities

    163,000       -       (28,884 )     134,116  

Municipal securities

    281,032       7       (53,321 )     227,718  

Collateralized debt obligations

    2,173       -       (1,125 )     1,048  

Total securities available-for-sale

  $ 455,477     $ 7     $ (84,588 )   $ 370,896  
Investments Classified by Contractual Maturity Date [Table Text Block]
   

(Dollars in thousands)

 
   

Available-for-sale

 
           

Estimated

 
   

Cost

   

Fair

 

March 31, 2023

 

Basis

   

Value

 

Due in one year or less

  $ 795     $ 795  

Due from one to five years

    7,062       6,363  

Due from five to ten years

    20,004       18,548  

Due over ten years

    264,188       218,886  

Collateralized mortgage obligations and residential mortgage-backed securities

    159,376       133,309  

Total

  $ 451,425     $ 377,901  
Schedule of Realized Gain (Loss) [Table Text Block]
   

(Dollars in thousands)

 
   

March 31,

   

March 31,

 
   

2023

   

2022

 
                 

Proceeds

  $ -     $ 16,236  

Gross gains

    -       397  

Gross losses

    -       (16 )
Schedule of Accumulated Other Comprehensive Income (Loss) [Table Text Block]
   

(Dollars in thousands)

 
   

Unrealized
gain/(loss)

 

Ending balance, December 31, 2021

  $ 4,276  

Current period change

    (37,738 )

Ending balance, March 31, 2022

  $ (33,462 )
   

(Dollars in thousands)

 
   

Unrealized
gain/(loss)

 

Ending balance, December 31, 2022

  $ (64,300 )

Current period change

    8,405  

Ending balance, March 31, 2023

  $ (55,895 )
Unrealized Gain (Loss) on Investments [Table Text Block]
   

(Dollars in thousands)

         
   

Less than 12 months

   

12 months or longer

   

Total

         
   

Estimated

           

Estimated

           

Estimated

           

Percentage of

 
   

Fair

   

Unrealized

   

Fair

   

Unrealized

   

Fair

   

Unrealized

   

Total Portfolio

 
   

Value

   

Losses

   

Value

   

Losses

   

Value

   

Losses

   

in Loss Position

 

March 31, 2023

                                                       

U.S. government sponsored entities

  $ -     $ -     $ 7,742     $ (1,141 )   $ 7,742     $ (1,141 )     100.0 %

Collateralized mortgage obligations and residential mortgage-backed securities

    3,617       (125 )     129,692       (25,942 )     133,309       (26,067 )     100.0 %

Municipal securities

    10,579       (197 )     215,135       (45,032 )     225,714       (45,229 )     95.9 %

Collateralized debt obligations

    -       -       1,017       (1,156 )     1,017       (1,156 )     100.0 %

Total temporarily impaired

  $ 14,196     $ (322 )   $ 353,586     $ (73,271 )   $ 367,782     $ (73,593 )     97.3 %

Number of securities

            28               408               436          
   

(Dollars in thousands)

         
   

Less than 12 months

   

12 months or longer

   

Total

         
   

Estimated

           

Estimated

           

Estimated

           

Percentage of

 
   

Fair

   

Unrealized

   

Fair

   

Unrealized

   

Fair

   

Unrealized

   

Total Portfolio

 
   

Value

   

Losses

   

Value

   

Losses

   

Value

   

Losses

   

in Loss Position

 

December 31, 2022

                                                       

U.S. government sponsored entities

  $ -     $ -     $ 7,625     $ (1,258 )   $ 7,625     $ (1,258 )     100.0 %

Collateralized mortgage obligations and residential mortgage-backed securities

    32,700       (4,955 )     101,416       (23,929 )     134,116       (28,884 )     100.0 %

Municipal securities

    171,581       (35,935 )     52,961       (17,386 )     224,542       (53,321 )     98.6 %

Collateralized debt obligations

    -       -       1,048       (1,125 )     1,048       (1,125 )     100.0 %

Total temporarily impaired

  $ 204,281     $ (40,890 )   $ 163,050     $ (43,698 )   $ 367,331     $ (84,588 )     99.0 %

Number of securities

            311               135               446