Annual report pursuant to Section 13 and 15(d)

Note 2 - Securities (Tables)

v3.24.0.1
Note 2 - Securities (Tables)
12 Months Ended
Dec. 31, 2023
Notes Tables  
Debt Securities, Trading, and Equity Securities, FV-NI [Table Text Block]
   

Amortized Cost

   

Gross Unrealized Gains

   

Gross Unrealized Losses

   

Fair Value

 

December 31, 2023

                               

Available for Sale:

                               

U.S. Treasury and federal agency securities

  $ 256,234     $ 25     $ (10,767 )   $ 245,492  

Agency MBS and CMOs

    123,767       173       (12,604 )     111,336  

Tax-exempt state and municipal bonds

    30,850       31       (284 )     30,597  

Taxable state and municipal bonds

    115,516       105       (5,545 )     110,076  

Corporate bonds and other debt securities

    11,527       3       (233 )     11,297  
    $ 537,894     $ 337     $ (29,433 )   $ 508,798  

Held to Maturity

                               

U.S. Treasury

  $ 251,229     $     $ (8,520 )     242,709  

Tax-exempt state and municipal bonds

    80,294       284       (1,189 )     79,389  
    $ 331,523     $ 284     $ (9,709 )   $ 322,098  
                                 

December 31, 2022

                               

Available for Sale:

                               

U.S. Treasury and federal agency securities

  $ 240,921     $ 23     $ (16,310 )   $ 224,634  

Agency MBS and CMOs

    128,165             (14,347 )     113,818  

Tax-exempt state and municipal bonds

    37,198       10       (498 )     36,710  

Taxable state and municipal bonds

    120,647       49       (8,525 )     112,171  

Corporate bonds and other debt securities

    12,387             (463 )     11,924  
    $ 539,318     $ 82     $ (40,143 )   $ 499,257  

Held to Maturity

                               

U.S. Treasury

  $ 251,307     $     $ (13,677 )     237,630  

Tax-exempt state and municipal bonds

    97,458       415       (2,853 )     95,020  
    $ 348,765     $ 415     $ (16,530 )   $ 332,650  
   

Held–to-Maturity Securities

   

Available-for-Sale Securities

 
   

Amortized Cost

   

Fair Value

   

Amortized Cost

   

Fair Value

 

Due in one year or less

  $ 153,581     $ 151,849     $ 126,515     $ 124,986  

Due from one to five years

    165,867       158,034       281,413       266,356  

Due from five to ten years

    12,075       12,215       6,199       6,120  

Due after ten years

                       

Agency MBS and CMOs

                123,767       111,336  
    $ 331,523     $ 322,098     $ 537,894     $ 508,798  
Unrealized Gain (Loss) on Investments [Table Text Block]
   

Less than 12 Months

   

12 Months or More

   

Total

 

December 31, 2023

 

Fair Value

   

Unrealized Loss

   

Fair Value

   

Unrealized Loss

   

Fair Value

   

Unrealized Loss

 

Available for Sale:

                                               

U.S. Treasury and federal agency securities

  $ 15,615     $ (41 )   $ 215,712     $ (10,726 )   $ 231,327     $ (10,767 )

Agency MBS and CMOs

    8,574       (52 )     83,893       (12,552 )     92,467       (12,604 )

Tax-exempt state and municipal bonds

    8,472       (50 )     13,296       (234 )     21,768       (284 )

Taxable state and municipal bonds

    4,667       (18 )     93,900       (5,527 )     98,567       (5,545 )

Corporate bonds and other debt securities

                10,822       (233 )     10,822       (233 )
    $ 37,328     $ (161 )   $ 417,623     $ (29,272 )   $ 454,951     $ (29,433 )
                                                 

Held to Maturity:

                                               

U.S. Treasury

  $     $     $ 242,709     $ (8,520 )   $ 242,709     $ (8,520 )

Tax-exempt state and municipal bonds

    673       (2 )     45,513       (1,187 )     46,186       (1,189 )
    $ 673     $ (2 )   $ 288,222     $ (9,707 )   $ 288,895     $ (9,709 )
   

Less than 12 Months

   

12 Months or More

   

Total

 

December 31, 2022

 

Fair Value

   

Unrealized Loss

   

Fair Value

   

Unrealized Loss

   

Fair Value

   

Unrealized Loss

 

Available for Sale:

                                               

U.S. Treasury and federal agency securities

  $ 144,796     $ (6,230 )   $ 66,008     $ (10,080 )   $ 210,804     $ (16,310 )

Agency MBS and CMOs

    64,427       (4,789 )     41,340       (9,558 )     105,767       (14,347 )

Tax-exempt state and municipal bonds

    31,337       (498 )                 31,337       (498 )

Taxable state and municipal bonds

    71,165       (3,337 )     33,452       (5,188 )     104,617       (8,525 )

Corporate bonds and other debt securities

    10,668       (357 )     1,256       (106 )     11,924       (463 )
    $ 322,393     $ (15,211 )   $ 142,056     $ (24,932 )   $ 464,449     $ (40,143 )
                                                 

Held to Maturity:

                                               

U.S. Treasury

  $ 237,630     $ (13,677 )   $     $     $ 237,630     $ (13,677 )

Tax-exempt state and municipal bonds

    57,671       (2,314 )     21,721       (539 )     79,392       (2,853 )
    $ 295,301     $ (15,991 )   $ 21,721     $ (539 )   $ 317,022     $ (16,530 )