Quarterly report pursuant to Section 13 or 15(d)

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

v3.23.2
Note 4 - Securities - Amortized Cost and Fair Value of Contractual Securities (Details) - USD ($)
$ in Thousands
Jun. 30, 2023
Dec. 31, 2022
Due within one year, amortized cost $ 449,651 $ 24,712
Due within one year, fair value 448,911 24,432
Due from one to five years, amortized cost 31,741 58,554
Due from one to five years, fair value 29,817 57,092
Due from five to ten years, amortized cost 329,164 338,630
Due from five to ten years, fair value 280,122 311,100
Due after ten years, amortized cost 3,000 3,000
Due after ten years, fair value 2,129 2,488
Mortgage-backed securities, amortized cost 261,450 282,480
Mortgage-backed securities, fair value 229,942 249,703
Available for sale, amortized cost 1,075,006 707,376
Available for sale, fair value 990,921 644,815 [1]
Held to maturity debt securities, Due within one year 122,152 250
Held to maturity debt securities, Due within one year 120,402 250
Held to maturity debt securities, Due from one to five years 314,773 386,465
Held to maturity debt securities, Due from one to five years 297,631 366,095
Held to maturity debt securities, Due from five to ten years 128,211 128,477
Held to maturity debt securities, Due from five to ten years 111,941 111,632
Mortgage-backed securities, amortized cost 492,170 518,929
Mortgage-backed securities, fair value 433,869 457,976
Held to maturity, amortized cost 1,057,306 1,034,121
Held to maturity debt securities, fair value $ 963,843 $ 935,953
[1] derived from audited financial statements.