Quarterly report pursuant to Section 13 or 15(d)

SECURITIES (Tables)

v3.3.0.814
SECURITIES (Tables)
9 Months Ended
Sep. 30, 2015
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
 
September 30, 2015
               
Available for Sale:
               
U.S. Treasury and federal agency securities
 
$
71,594
     
231
     
(42
)
 
$
71,783
 
U.S. Agency MBS and CMOs
   
13,874
     
88
     
(27
)
   
13,935
 
Tax-exempt state and municipal bonds
   
34,698
     
423
     
(117
)
   
35,004
 
Taxable state and municipal bonds
   
25,015
     
374
     
(3
)
   
25,386
 
Corporate bonds and other debt securities
   
13,868
     
40
     
(12
)
   
13,896
 
Other equity securities
   
1,500
     
11
     
---
     
1,511
 
   
$
160,549
   
$
1,167
   
$
(201
)
 
$
161,515
 
Held to Maturity
                               
Tax-exempt state and municipal bonds
 
$
40,434
   
$
1,190
   
$
---
   
$
41,624
 
                                 
December 31, 2014
                               
Available for Sale:
                               
U.S. Treasury and federal agency securities
 
$
67,612
   
$
53
   
$
(501
)
 
$
67,164
 
U. S. Agency MBS and CMOs
   
16,692
     
67
     
(71
)
   
16,688
 
Tax-exempt state and municipal bonds
   
37,203
     
419
     
(161
)
   
37,461
 
Taxable state and municipal bonds
   
25,012
     
351
     
(70
)
   
25,293
 
Corporate bonds and other debt securities
   
13,762
     
34
     
(30
)
   
13,766
 
Other equity securities
   
1,500
     
2
     
---
     
1,502
 
   
$
161,781
   
$
926
   
$
(833
)
 
$
161,874
 
Held to Maturity:
                               
Tax-exempt state and municipal bonds
 
$
31,585
   
$
64
   
$
(221
)
 
$
31,428
 
Contractual maturities of debt securities
Contractual maturities of debt securities at September 30, 2015 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
 
$
13,156
   
$
13,221
   
$
7,195
   
$
7,235
 
Due from one to five years
   
9,769
     
9,982
     
98,012
     
98,565
 
Due from five to ten years
   
15,319
     
16,098
     
38,039
     
38,308
 
Due after ten years
   
2,190
     
2,323
     
15,803
     
15,896
 
   
$
40,434
   
$
41,624
   
$
159,049
   
$
160,004
 
Securities in continuous unrealized loss position
Securities with unrealized losses at September 30, 2015 and December 31, 2014, 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
 
 
September 30, 2015
 
Fair
Value
   
Unrealized
Loss
   
Fair
Value
   
Unrealized
Loss
   
Fair
Value
   
Unrealized
Loss
 
U.S. Treasury and federal agency securities
 
$
12,994
   
$
(6
)
 
$
9,795
   
$
(36
)
 
$
22,789
   
$
(42
)
U.S. Agency MBS and CMOs
   
5,837
     
(27
)
   
---
     
---
     
5,837
     
(27
)
Tax-exempt state and municipal bonds
   
7,271
     
(50
)
   
1,993
     
(67
)
   
9,264
     
(117
)
Taxable state and municipal bonds
   
---
     
---
     
648
     
(3
)
   
648
     
(3
)
Corporate bonds and other debt securities
   
3,851
     
(8
)
   
498
     
(4
)
   
4,349
     
(12
)
Other equity securities
   
---
     
---
     
---
     
---
     
---
     
---
 
Total temporarily impaired
 
$
29,953
   
$
(91
)
 
$
12,934
   
$
(110
)
 
$
42,887
   
$
(201
)
 
   
Less than 12 Months
   
12 Months or More
   
Total
 
 
December 31, 2014
 
Fair
Value
   
Unrealized
Loss
   
Fair
Value
   
Unrealized
Loss
   
Fair
Value
   
Unrealized
Loss
 
U.S. Treasury and federal agency securities
 
$
16,426
   
$
(45
)
 
$
35,350
   
$
(456
)
 
$
51,776
   
$
(501
)
U.S. Agency MBS and CMOs
   
---
     
---
     
9,732
     
(71
)
   
9,732
     
(71
)
Tax-exempt state and municipal bonds
   
26,820
     
(264
)
   
4,545
     
(118
)
   
31,365
     
(382
)
Taxable state and municipal bonds
   
3,982
     
(19
)
   
3,240
     
(51
)
   
7,222
     
(70
)
Corporate bonds and other debt securities
   
4,187
     
(13
)
   
1,988
     
(17
)
   
6,175
     
(30
)
Other equity securities
   
---
     
---
     
---
     
---
     
---
     
---
 
Total temporarily impaired
 
$
51,415
   
$
(341
)
 
$
54,855
   
$
(713
)
 
$
106,270
   
$
(1,054
)