Annual report pursuant to Section 13 and 15(d)

INVESTMENT SECURITIES - Maturity Distribution (Details)

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INVESTMENT SECURITIES - Maturity Distribution (Details) - USD ($)
$ in Thousands
Dec. 31, 2021
Dec. 31, 2020
Amortized Cost    
Due in one year or less $ 40,322  
Due after one through five years 297,352  
Due after five thru ten years 67,522  
Total Investment Securities 660,732 $ 321,191
Fair Value    
Due in one year or less 39,916  
Due after one through five years 293,514  
Due after five thru ten years 66,006  
Total Investment Securities 654,611 324,870
Amortized Cost    
Due in one year or less 0  
Due after one through five years 115,499  
Total Investment Securities 339,601 169,939
Fair Value    
Due in one year or less 0  
Due after one through five years 113,877  
Total Investment Securities 339,699 175,175
Mortgage-Backed Securities [Member]    
Amortized Cost    
Due without single maturity date 89,440  
Total Investment Securities 89,440 456
Fair Value    
Due without single maturity date 88,869  
Total Investment Securities 88,869 515
Amortized Cost    
Due without single maturity date 224,102  
Total Investment Securities 224,102 164,938
Fair Value    
Due without single maturity date 225,822  
Total Investment Securities 225,822 170,161
U.S. Government Agency [Member]    
Amortized Cost    
Due without single maturity date 159,002  
Total Investment Securities 238,490 205,972
Fair Value    
Due without single maturity date 159,212  
Total Investment Securities 237,578 208,531
Other Securities [Member]    
Amortized Cost    
Due without single maturity date 7,094  
Total Investment Securities 7,094 7,673
Fair Value    
Due without single maturity date 7,094  
Total Investment Securities $ 7,094 $ 7,673