Quarterly report pursuant to Section 13 or 15(d)

INVESTMENT SECURITIES (Tables)

v3.19.2
INVESTMENT SECURITIES (Tables)
6 Months Ended
Jun. 30, 2019
Investments, Debt and Equity Securities [Abstract]  
Schedule of amortized cost and related market value of investment securities available-for-sale
Investment Portfolio Composition. The amortized cost and related market value of investment securities available-for-sale and
held-to-maturity were as follows:
June 30, 2019 December 31, 2018
Amortized Unrealized Unrealized Market Amortized Unrealized Unrealized Market
Cost Gains Losses Value Cost Gain Losses Value
Available for Sale
U.S. Government Treasury $ 241,731 $ 908 $ 616 $ 242,023 $ 264,298 $ 167 $ 2,616 $ 261,849
U.S. Government Agency 138,046 476 395 138,127 133,201 520 515 133,206
States and Political Subdivisions 22,067 8 9 22,066 42,509 - 144 42,365
Mortgage-Backed Securities 723 65 - 788 903 40 - 943
Equity Securities(1) 7,847 - - 7,847 7,794 - - 7,794
Total $ 410,414 $ 1,457 $ 1,020 $ 410,851 $ 448,705 $ 727 $ 3,275 $ 446,157
Held to Maturity
U.S. Government Treasury $ 35,062 $ 7 $ 96 $ 34,973 $ 35,088 $ - $ 477 $ 34,611
States and Political Subdivisions 4,833 1 3 4,831 6,512 - 26 6,486
Mortgage-Backed Securities 189,621 1,614 349 190,886 175,720 220 2,624 173,316
Total $ 229,516 $ 1,622 $ 448 $ 230,690 $ 217,320 $ 220 $ 3,127 $ 214,413
Total Investment Securities $ 639,930 $ 3,079 $ 1,468 $ 641,541 $ 666,025 $ 947 $ 6,402 $ 660,570
Schedule of investment securities with maturity distribution based on contractual maturities
Available for Sale Held to Maturity
(Dollars in Thousands) Amortized Cost Market Value Amortized Cost Market Value
Due in one year or less $ 148,151   $ 147,738   $ 19,840   $ 19,800
Due after one year through five years   130,952     131,635     20,055     20,004
Mortgage-Backed Securities 723 788 189,621 190,886
U.S. Government Agency   122,741     122,843     -     -
Equity Securities   7,847     7,847     -     -
Total $ 410,414   $ 410,851   $ 229,516   $ 230,690
Schedule of investment securities with continuous unrealized loss position
  Less Than Greater Than
12 Months 12 Months Total
Market Unrealized Market Unrealized Market Unrealized
(Dollars in Thousands) Value Losses Value Losses Value Losses
June 30, 2019
Available for Sale
U.S. Government Treasury $ -   $ -   $ 167,884   $ 616   $ 167,884   $ 616
U.S. Government Agency 32,600 175 42,908 220 75,508 395
States and Political Subdivisions -   -   11,369   9   11,369   9
Total 32,600   175   222,161   845   254,761   1,020
Held to Maturity
U.S. Government Treasury   -   -   29,958   96   29,958     96
States and Political Subdivisions - - 2,880 3 2,880 3
Mortgage-Backed Securities   4,929     32     47,910     317     52,839     349
Total $ 4,929   $ 32   $ 80,748   $ 416   $ 85,677   $ 448
December 31, 2018
Available for Sale 
U.S. Government Treasury $ 28,420   $ 80   $ 193,501   $ 2,536   $ 221,921   $ 2,616
U.S. Government Agency 53,237 271 28,735 244 81,972 515
States and Political Subdivisions   8,243     12     31,417     132     39,660     144
Mortgage-Backed Securities 10 - - - 10 -
Total 89,910   363   253,653   2,912   343,563   3,275
Held to Maturity
U.S. Government Treasury   -     -     34,612     477     34,612     477
States and Political Subdivisions 204 - 6,281 26 6,485 26
Mortgage-Backed Securities 51,327 389 84,705 2,235 136,032 2,624
Total $ 51,531   $ 389   $ 125,598   $ 2,738   $ 177,129   $ 3,127