Quarterly report pursuant to Section 13 or 15(d)

Note 4 - Securities (Tables)

v3.10.0.1
Note 4 - Securities (Tables)
6 Months Ended
Jun. 30, 2018
Notes Tables  
Unrealized Gain (Loss) on Investments [Table Text Block]
        Gross   Gross    
   
Amortized
 
Unrealized
 
Unrealized
 
Market
   
Cost
 
Gain
 
Loss
 
Value
June 30, 2018:  
(In Thousands)
Securities Available for Sale                                
U.S. Treasury and government sponsored agencies   $
58,072
 
  $
4
 
  $
(965
)
  $
57,111
 
Mortgage-backed securities    
322,306
 
   
515
 
   
(8,390
)
   
314,431
 
State and municipal securities    
120,885
 
   
411
 
   
(765
)
   
120,531
 
Corporate debt    
91,412
 
   
730
 
   
(666
)
   
91,476
 
Total    
592,675
 
   
1,660
 
   
(10,786
)
   
583,549
 
Securities Held to Maturity                                
State and municipal securities    
250
 
   
-
 
   
-
 
   
250
 
Total   $
250
 
  $
-
 
  $
-
 
  $
250
 
                                 
December 31, 2017:                                
Securities Available for Sale                                
U.S. Treasury and government sponsored agencies   $
55,567
 
  $
38
 
  $
(249
)
  $
55,356
 
Mortgage-backed securities    
278,177
 
   
1,006
 
   
(2,685
)
   
276,498
 
State and municipal securities    
134,641
 
   
761
 
   
(553
)
   
134,849
 
Corporate debt    
69,996
 
   
1,416
 
   
(35
)
   
71,377
 
Total    
538,381
 
   
3,221
 
   
(3,522
)
   
538,080
 
Securities Held to Maturity                                
State and municipal securities    
250
 
   
-
 
   
-
 
   
250
 
Total   $
250
 
  $
-
 
  $
-
 
  $
250
 
Fair Value, Assets Measured on Recurring Basis [Table Text Block]
    June 30, 2018   December 31, 2017
    Amortized
Cost
  Fair Value   Amortized
Cost
  Fair Value
    (In thousands)
Debt securities available for sale                                
Due within one year   $
47,313
    $
47,336
    $
22,122
    $
22,172
 
Due from one to five years    
202,998
     
201,448
     
160,773
     
160,563
 
Due from five to ten years    
17,584
     
17,767
     
73,362
     
74,684
 
Due after ten years    
2,474
     
2,567
     
3,947
     
4,163
 
Mortgage-backed securities    
322,306
     
314,431
     
278,177
     
276,498
 
    $
592,675
    $
583,549
    $
538,381
    $
538,080
 
                                 
Debt securities held to maturity                                
Due from one to five years   $
250
    $
250
    $
250
    $
250
 
    $
250
    $
250
    $
250
    $
250
 
Gain (Loss) on Securities [Table Text Block]
    Less Than Twelve Months   Twelve Months or More   Total
    Gross       Gross       Gross    
    Unrealized       Unrealized       Unrealized    
    Losses   Fair Value   Losses   Fair Value   Losses   Fair Value
    (In Thousands)
June 30, 2018                                                
U.S. Treasury and government sponsored agencies   $
(809
)   $
54,065
    $
(156
)   $
2,866
    $
(965
)   $
56,931
 
Mortgage-backed securities    
(5,255
)    
228,217
     
(3,135
)    
67,375
     
(8,390
)    
295,592
 
State and municipal securities    
(602
)    
66,356
     
(163
)    
7,872
     
(765
)    
74,228
 
Corporate debt    
(666
)    
39,738
     
-
     
-
     
(666
)    
39,738
 
Total   $
(7,332
)   $
388,376
    $
(3,454
)   $
78,113
    $
(10,786
)   $
466,489
 
                                                 
December 31, 2017                                                
U.S. Treasury and government sponsored agencies   $
(151
)   $
33,401
    $
(98
)   $
2,926
    $
(249
)   $
36,327
 
Mortgage-backed securities    
(986
)    
140,432
     
(1,699
)    
75,903
     
(2,685
)    
216,335
 
State and municipal securities    
(450
)    
66,637
     
(103
)    
6,648
     
(553
)    
73,285
 
Corporate debt    
(35
)    
6,955
     
-
     
-
     
(35
)    
6,955
 
Total   $
(1,622
)   $
247,425
    $
(1,900
)   $
85,477
    $
(3,522
)   $
332,902