Annual report pursuant to Section 13 and 15(d)

INVESTMENT SECURITIES - (Maturity Distribution) (Details)

v3.23.4
INVESTMENT SECURITIES - (Maturity Distribution) (Details) - USD ($)
$ in Thousands
Dec. 31, 2022
Sep. 30, 2022
Jun. 30, 2022
Mar. 31, 2022
Dec. 31, 2021
Amortized Cost          
Due in one year or less $ 47,408        
Due after one through five years 153,009        
Due after five through ten years 51,785        
Total Investment Securities 455,232 $ 461,646 $ 643,679 $ 655,927 $ 660,732
Fair Value          
Due in one year or less 44,255        
Due after one through five years 140,296        
Due after five through ten years 42,566        
Total Investment Securities 413,294 416,745 601,405 624,361 654,611
Amortized Cost          
Due in one year or less 0        
Due after one through five years 457,374        
Total Investment Securities 660,744 676,178 528,258 518,678 339,601
Fair Value          
Due in one year or less 0        
Due after one through five years 431,733        
Total Investment Securities 612,701 $ 623,628 $ 498,963 $ 501,277 339,699
Mortgage-Backed Securities [Member]          
Amortized Cost          
Due without single maturity date 80,829        
Total Investment Securities 80,829       89,440
Fair Value          
Due without single maturity date 69,405        
Total Investment Securities 69,405       88,869
Amortized Cost          
Due without single maturity date 203,370        
Total Investment Securities 203,370       224,102
Fair Value          
Due without single maturity date 180,968        
Total Investment Securities 180,968       225,822
U.S. Government Agency [Member]          
Amortized Cost          
Due without single maturity date 114,979        
Total Investment Securities 198,888       238,490
Fair Value          
Due without single maturity date 109,550        
Total Investment Securities 186,052       237,578
Other Securities [Member]          
Amortized Cost          
Due without single maturity date 7,222        
Total Investment Securities 7,222       7,094
Fair Value          
Due without single maturity date 7,222        
Total Investment Securities $ 7,222       $ 7,094