Quarterly report pursuant to Section 13 or 15(d)

SECURITIES (Tables)

v3.23.1
SECURITIES (Tables)
3 Months Ended
Mar. 31, 2023
SECURITIES [Abstract]  
Amortized Cost and Fair Value of Securities
The amortized cost and fair value of securities at period-end were as follows (dollars in thousands):

   
Amortized
Cost
   
Gross
Unrealized
Gains
   
Gross
Unrealized
Losses
   
Fair
Value
 
March 31, 2023
                       
Available for Sale
                       
U.S. Treasury and federal agency securities
 
$
255,211
   
$
175
   
$
(13,528
)
 
$
241,858
 
U.S. Agency MBS and CMOs
   
134,956
     
81
     
(12,793
)
   
122,244
 
Tax-exempt state and municipal bonds
   
37,142
     
77
     
(270
)
   
36,949
 
Taxable state and municipal bonds
   
119,862
     
149
     
(6,874
)
   
113,137
 
Corporate bonds and other debt securities
   
12,112
     
4
     
(345
)
   
11,771
 
   
$
559,283
   
$
486
   
$
(33,810
)
 
$
525,959
 
                                 
Held to Maturity
                               
U.S. Treasury
  $ 251,286     $     $ (11,274 )   $ 240,012  
Tax-exempt state and municipal bonds
    97,101
      552
      (2,106 )     95,547
 

 
$
348,387
   
$
552
   
$
(13,380
)
 
$
335,559
 

   
Amortized
Cost
   
Gross
Unrealized
Gains
   
Gross
Unrealized
Losses
   
Fair
Value
 
December 31, 2022
                       
Available for Sale:
                       
U.S. Treasury and federal agency securities
 
$
240,921
   
$
23
   
$
(16,310
)
 
$
224,634
 
U.S. 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
 
Contractual Maturities of Debt Securities
Contractual maturities of debt securities at March 31, 2023 were as follows (dollars in thousands):

   
Held–to-Maturity Securities
   
Available-for-Sale Securities
 
   
Amortized
Cost
   
Fair
Value
   
Amortized
Cost
   
Fair
Value
 
Due in one year or less
 
$
58,157
   
$
57,487
   
$
22,431
   
$
22,106
 
Due from one to five years
   
272,386
     
260,375
     
369,226
     
352,338
 
Due from five to ten years
   
17,844
     
17,697
     
34,295
     
30,814
 
Due after ten years
   
     
     
133,331
     
120,701
 
   
$
348,387
   
$
335,559
   
$
559,283
   
$
525,959
 
Securities in Continuous Unrealized Loss Position
Securities with unrealized losses at March 31, 2023 and December 31, 2022, aggregated by investment category and length of time that individual securities have been in a continuous unrealized loss position, were as follows (dollars in thousands):

   
Less than 12 Months
   
12 Months or More
   
Total
 
March 31, 2023
 
Fair
Value
   
Unrealized
Loss
   
Fair
Value
   
Unrealized
Loss
   
Fair
Value
   
Unrealized
Loss
 
Available for Sale
                                   
U.S. Treasury and federal agency securities
 
$
90,278
   
$
(2,249
)
 
$
125,775
   
$
(11,279
)
 
$
216,053
   
$
(13,528
)
U.S. Agency MBS and CMOs
   
31,574
     
(1,021
)
   
64,296
     
(11,772
)
   
95,870
     
(12,793
)
Tax-exempt state and municipal bonds
   
17,744
     
(103
)
   
5,541
     
(167
)
   
23,285
     
(270
)
Taxable state and municipal bonds
   
41,608
     
(989
)
   
58,236
     
(5,885
)
   
99,844
     
(6,874
)
Corporate bonds and other debt securities
   
7,462
     
(148
)
   
3,839
     
(197
)
   
11,301
     
(345
)
Total
 
$
188,666
   
$
(4,510
)
 
$
257,687
   
$
(29,300
)
 
$
446,353
   
$
(33,810
)
                                                 
Held to Maturity
                                               
U.S. Treasury   $ 114,386     $ (5,063 )   $ 125,626     $ (6,211 )   $ 240,012     $ (11,274 )
Tax-exempt state and municipal bonds     26,395       (384 )     49,855       (1,722 )     76,250       (2,106 )
 
$
140,781
   
$
(5,447
)
 
$
175,481
   
$
(7,933
)
 
$
316,262
   
$
(13,380
)

NOTE 2 – SECURITIES (Continued)

   
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
)
U.S. 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 )