Quarterly report pursuant to Section 13 or 15(d)

Note 4 - Securities - Amortized Cost and Fair Value of Contractual Securities (Details)

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Note 4 - Securities - Amortized Cost and Fair Value of Contractual Securities (Details) - USD ($)
$ in Thousands
Mar. 31, 2022
Dec. 31, 2021
Due within one year, amortized cost $ 26,302 $ 32,913
Due within one year, fair value 26,389 33,232
Due from one to five years, amortized cost 64,413 31,760
Due from one to five years, fair value 64,291 32,307
Due from five to ten years, amortized cost 346,386 338,407
Due from five to ten years, fair value 344,765 348,594
Due after ten years, amortized cost 10,094 3,094
Due after ten years, fair value 10,094 3,276
Mortgage-backed securities, amortized cost 356,119 424,372
Mortgage-backed securities, fair value 339,134 425,161
Available for sale, amortized cost 803,314 830,546
Available for sale, fair value 784,673 842,570 [1]
Held to maturity debt securities, Due within one year 250 250
Held to maturity debt securities, Due within one year 250 250
Held to maturity debt securities, Due from one to five years 225,279 49,663
Held to maturity debt securities, Due from one to five years 217,987 49,419
Held to maturity debt securities, Due from five to ten years 128,910 102,403
Held to maturity debt securities, Due from five to ten years 121,403 101,996
Mortgage-backed securities, amortized cost 478,865 310,641
Mortgage-backed securities, fair value 459,706 314,621
Held to maturity, amortized cost 833,304 462,957
Held to maturity debt securities, fair value $ 799,347 $ 466,286 [1]
[1] derived from audited financial statements.