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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
 
FORM 10-Q
 
(Mark One)
QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the Quarterly Period ended June 30, 2023
OR
TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the Transition Period From ________ to ________.
 
Commission File Number 001-35750 
First Internet Bancorp
(Exact Name of Registrant as Specified in Its Charter)
Indiana 20-3489991
(State or Other Jurisdiction of
Incorporation or Organization)
 (I.R.S. Employer
Identification No.)
   
8701 East 116th Street
Fishers, IN
 46038
(Address of Principal Executive Offices) (Zip Code)
(317) 532-7900
(Registrant’s Telephone Number, Including Area Code)
Securities registered pursuant to Section 12(b) of the Act:
Title of each classTrading SymbolsName of each exchange on which registered
Common Stock, without par valueINBKThe Nasdaq Stock Market LLC
6.0% Fixed to Floating Subordinated Notes due 2029INBKZThe Nasdaq Stock Market LLC
Indicate by check mark whether the registrant: (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.  Yes þ No ¨
 
Indicate by check mark whether the registrant has submitted electronically every Interactive Data File required to be submitted pursuant to Rule 405 of Regulation S-T during the preceding 12 months (or for such shorter period that the registrant was required to submit such files). Yes þ No ¨
 
Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, a smaller reporting company, or an emerging growth company. See the definitions of “large accelerated filer,” “accelerated filer,” “smaller reporting company,” and “emerging growth company” in Rule 12b-2 of the Exchange Act.
Large Accelerated Filer ¨
Accelerated Filer þ
Non-accelerated Filer ¨
Smaller Reporting Company 
Emerging growth company
If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act. ¨

Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act). Yes  No þ
 
As of August 4, 2023, the registrant had 8,717,407 shares of common stock issued and outstanding.



Cautionary Note Regarding Forward-Looking Statements
  
This Quarterly Report on Form 10-Q contains forward-looking statements within the meaning of the federal securities laws. These statements are not historical facts, but rather statements based on the current expectations of First Internet Bancorp and its consolidated subsidiaries (the “Company,” “we,” “our,” or “us”) regarding our business strategies, intended results and future performance, including without limitation statements concerning the financial condition, results of operations, trends in lending policies and loan programs, plans and prospective business partnerships, objectives, future performance and business of the Company. Forward-looking statements are generally preceded by terms such as “acquire”, “anticipate,” “attempt,” “believe,” “can,” “continue,” “could,” “differentiate,” “diversify,” “driving,” “effort,” “emerging,” “estimate,” “expect,” “grow,” “increase,” “intend,” “likely,” “may,” “objective,” “optimistic,” “pending,” “plan,” “position,” “potential,” “preliminary,” “remain,” “retain,” “should,” “succeed,” “will,” “win,” “would” or other similar expressions. Such statements are subject to certain risks and uncertainties, including without limitation: changes in market rates and prices that may adversely impact the value of securities, loans, deposits and other financial instruments and the interest rate sensitivity of our balance sheet; changing bank regulatory conditions, policies or programs, whether arising as a result of new legislation or regulatory initiatives, that could lead to restrictions on activities of banks generally or First Internet Bank (the “Bank”) in particular; more restrictive regulatory capital requirements; increased costs, including deposit insurance premiums; other general economic conditions, whether national or regional, and conditions in the lending markets in which we participate that may have an adverse effect on the demand for our loans and other products; our credit quality and related levels of nonperforming assets and credit losses, and the value and salability of the real estate that is the collateral for our loans; failures or breaches of or interruptions in the communication and information systems on which we rely to conduct our business that could reduce our revenues, increase our costs or lead to disruptions in our business; our dependence on capital distributions from the Bank; results of examinations of us by our regulators, including the possibility that our regulators may, among other things, require us to increase our allowance for credit losses or to write-down assets; regulation or prohibition of certain income producing activities or changes in the secondary market for loans and other products; our liquidity requirements being adversely affected by changes in our assets and liabilities; the effect of legislative or regulatory developments, including changes in laws concerning taxes, banking, securities, insurance and other aspects of the financial services industry; competitive factors among financial services organizations, including product and pricing pressures and our ability to attract, develop and retain qualified banking professionals; the growth and profitability of noninterest or fee income being less than expected; the loss of any key members of senior management; the effect of changes in accounting policies and practices, as may be adopted by the Financial Accounting Standards Board, the Securities and Exchange Commission (the “SEC”), the Public Company Accounting Oversight Board and other regulatory agencies; and the effect of fiscal and governmental policies of the United States federal government. Additional factors that may affect our results include those discussed in this Quarterly Report on Form 10-Q and our most recent Annual Report on Form 10-K under the heading “Risk Factors” and in other reports filed with the SEC. We caution readers not to place undue reliance on any such forward-looking statements, which speak only as of the date made. The factors listed above could affect our financial performance and could cause our actual results for future periods to differ materially from any opinions or statements expressed with respect to future periods in any current statements.

Except as required by law, we do not undertake, and specifically disclaim any obligation, to publicly release the result of any revisions that may be made to any forward-looking statements to reflect events or circumstances after the date of such statements or to reflect the occurrence of anticipated or unanticipated events.

i


PART I

ITEM 1.    FINANCIAL STATEMENTS 

First Internet Bancorp
Condensed Consolidated Balance Sheets
(Amounts in thousands except share data)
 June 30, 2023December 31, 2022
 (Unaudited) 
Assets  
Cash and due from banks$9,503 $17,426 
Interest-bearing deposits456,128 239,126 
Total cash and cash equivalents465,631 256,552 
Securities available-for-sale, at fair value (amortized cost of $424,891 and $436,183 in 2023 and 2022, respectively)379,394 390,384 
Securities held-to-maturity, at amortized cost, net of allowance for credit losses (fair value of $208,643 and $168,483 in 2023 and 2022, respectively)230,605 189,168 
Loans held-for-sale (includes $9,110 at fair value in 2022)32,001 21,511 
Loans3,646,832 3,499,401 
Allowance for credit losses - loans(36,058)(31,737)
Net loans3,610,774 3,467,664 
Accrued interest receivable24,101 21,069 
Federal Home Loan Bank of Indianapolis stock28,350 28,350 
Cash surrender value of bank-owned life insurance40,357 39,859 
Premises and equipment, net73,525 72,711 
Goodwill4,687 4,687 
Servicing asset, at fair value8,252 6,255 
Other real estate owned106  
Accrued income and other assets49,266 44,894 
Total assets$4,947,049 $4,543,104 
Liabilities and Shareholders’ Equity  
Liabilities  
Noninterest-bearing deposits$119,291 $175,315 
Interest-bearing deposits3,735,017 3,265,930 
Total deposits3,854,308 3,441,245 
Advances from Federal Home Loan Bank614,931 614,928 
Subordinated debt, net of unamortized debt issuance costs of $2,316 and $2,468 in 2023 and 2022, respectively104,684 104,532 
Accrued interest payable3,338 2,913 
Accrued expenses and other liabilities15,456 14,512 
Total liabilities4,592,717 4,178,130 
Commitments and Contingencies
Shareholders’ Equity  
Preferred stock, no par value; 4,913,779 shares authorized; issued and outstanding - none  
Voting common stock, no par value; 45,000,000 shares authorized; 8,774,507 and 9,065,883 shares issued and outstanding in 2023 and 2022, respectively186,545 192,935 
Nonvoting common stock, no par value; 86,221 shares authorized; issued and outstanding - none  
Retained earnings200,973 205,675 
Accumulated other comprehensive loss(33,186)(33,636)
Total shareholders’ equity354,332 364,974 
Total liabilities and shareholders’ equity$4,947,049 $4,543,104 

See Notes to Condensed Consolidated Financial Statements
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First Internet Bancorp
Condensed Consolidated Statements of Income – Unaudited
(Amounts in thousands except share and per share data)
 Three Months EndedSix Months Ended
 June 30, 2023June 30, 2022June 30, 2023June 30, 2022
Interest Income   
Loans$46,906 $32,415 $90,749 $65,603 
Securities – taxable3,835 2,567 7,441 4,788 
Securities – non-taxable860 328 1,658 577 
Other earning assets6,521 796 10,307 1,172 
Total interest income58,122 36,106 110,155 72,140 
Interest Expense   
Deposits34,676 6,408 61,946 12,505 
Other borrowed funds5,301 4,018 10,490 8,205 
Total interest expense39,977 10,426 72,436 20,710 
Net Interest Income18,145 25,680 37,719 51,430 
Provision for Credit Losses 1
1,698 1,185 11,113 1,976 
Net Interest Income After Provision for Credit Losses16,447 24,495 26,606 49,454 
Noninterest Income   
Service charges and fees218 281 427 597 
Loan servicing revenue850 620 1,635 1,205 
Loan servicing asset revaluation(358)(470)(413)(767)
Mortgage banking activities 1,710 76 3,583 
Gain on sale of loans4,868 1,952 8,929 5,797 
Other293 221 663 719 
Total noninterest income5,871 4,314 11,317 11,134 
Noninterest Expense   
Salaries and employee benefits10,706 10,832 22,500 20,710 
Marketing, advertising and promotion705 920 1,549 1,676 
Consulting and professional services711 1,197 1,637 3,122 
Data processing520 490 1,179 939 
Loan expenses1,072 693 3,049 2,275 
Premises and equipment2,661 2,419 5,438 4,959 
Deposit insurance premium936 287 1,479 568 
Other1,359 1,147 2,793 2,516 
Total noninterest expense18,670 17,985 39,624 36,765 
Income (Loss) Before Income Taxes3,648 10,824 (1,701)23,823 
Income Tax (Benefit) Provision(234)1,279 (2,566)3,069 
Net Income$3,882 $9,545 $865 $20,754 
Income Per Share of Common Stock   
Basic$0.44 $0.99 $0.10 $2.14 
Diluted$0.44 $0.99 $0.10 $2.13 
Weighted-Average Number of Common Shares Outstanding   
Basic8,903,213 9,600,383 8,963,308 9,694,729 
Diluted8,908,180 9,658,689 8,980,262 9,764,232 
Dividends Declared Per Share$0.06 $0.06 $0.12 $0.12 
1Beginning January 1, 2023, the allowance calculation is based on the CECL methodology. Prior to January 1, 2023, the allowance calculation was based on the incurred loss methodology.

See Notes to Condensed Consolidated Financial Statements
2


First Internet Bancorp
Condensed Consolidated Statements of Comprehensive Income – Unaudited
(Amounts in thousands except per share data)
 Three Months Ended June 30,Six Months Ended June 30,
 2023202220232022
Net income$3,882 $9,545 $865 $20,754 
Other comprehensive (loss) income
Securities available-for-sale
Net unrealized holding (losses) gains recorded within other comprehensive (loss) income before income tax(4,810)(15,395)302 (33,276)
Income tax (benefit) provision(1,107)(4,186)63 (8,263)
Net effect on other comprehensive (loss) income (3,703)(11,209)239 (25,013)
Securities held-to-maturity
Reclassification of securities from available-for-sale to held-to-maturity   (5,402)
Amortization of net unrealized holding losses on securities transferred from available-for-sale to held-to-maturity206 193 364 312 
Income tax provision (benefit)49 (23)95 (1,272)
Net effect on other comprehensive income (loss)157 216 269 (3,818)
Cash flow hedges
Net unrealized holding gains (losses) on cash flow hedging derivatives recorded within other comprehensive income (loss) before income tax2,094 4,944 (76)14,278 
Income tax provision (benefit)481 1,840 (18)5,158 
Net effect on other comprehensive income (loss)1,613 3,104 (58)9,120 
Total other comprehensive (loss) income(1,933)(7,889)450 (19,711)
Comprehensive income $1,949 $1,656 $1,315 $1,043 
 
 See Notes to Condensed Consolidated Financial Statements

3


First Internet Bancorp
Condensed Consolidated Statements of Changes in Shareholders’ Equity - Unaudited
Six Months Ended June 30, 2023 and 2022
(Amounts in thousands except per share data)
Voting and
Nonvoting
Common
Stock
Retained
Earnings
Accumulated
Other
Comprehensive
Loss
Total
Shareholders’
Equity
Balance, January 1, 2023$192,935 $205,675 $(33,636)$364,974 
Impact of adoption of new accounting standards 1
— (4,491)— (4,491)
Net Income— 865 — 865 
Other comprehensive income— — 450 450 
Dividends declared ($0.12 per share)
— (1,076)— (1,076)
Recognition of the fair value of share-based compensation487 — — 487 
Repurchased shares of common stock (364,691)
(6,774)— — (6,774)
Deferred stock rights and restricted stock units issued in lieu of cash dividends payable on outstanding deferred stock rights and restricted stock units3— — 3 
Common stock redeemed for the net settlement of share-based awards(106)— — (106)
Balance, June 30, 2023$186,545 $200,973 $(33,186)$354,332 
Balance, January 1, 2022$218,946 $172,431 $(11,039)$380,338 
Net income— 20,754 — 20,754 
Other comprehensive loss— — (19,711)(19,711)
Dividends declared ($0.12 per share)
— (1,174)— (1,174)
Recognition of the fair value of share-based compensation1,534 — — 1,534 
Repurchase of common stock (398,167)
(16,240)— — (16,240)
Deferred stock rights and restricted stock units issued in lieu of cash dividends payable on outstanding deferred stock rights and restricted stock units10 — — 10 
Common stock redeemed for the net settlement of share-based awards(179)— — (179)
Balance, June 30, 2022$204,071 $192,011 $(30,750)$365,332 
1 Reflects the impact of adopting Accounting Standards Update (“ASU”) 2016-13.

See Notes to Condensed Consolidated Financial Statements















4


First Internet Bancorp
Condensed Consolidated Statements of Changes in Shareholders’ Equity - Unaudited
Three Months Ended June 30, 2023 and 2022
(Amounts in thousands except per share data)
Voting and
Nonvoting
Common
Stock
Retained
Earnings
Accumulated
Other
Comprehensive
Loss
Total
Shareholders’
Equity
Balance April 1, 2023$189,202 $197,623 $(31,253)$355,572 
Net income— 3,882 — 3,882 
Other comprehensive loss— — (1,933)(1,933)
Dividends declared ($0.06 per share)
— (532)— (532)
Recognition of the fair value of share-based compensation115 — — 115 
Repurchased shares of common stock (85,000)
(2,745)— — (2,745)
Excise tax on repurchase of common stock(27)— — (27)
Balance, June 30, 2023$186,545 $200,973 $(33,186)$354,332 
Balance April 1, 2022$214,473 $183,043 $(22,861)$374,655 
Net income— 9,545 — 9,545 
Other comprehensive loss— — (7,889)(7,889)
Dividends declared ($0.06 per share)
— (577)— (577)
Recognition of the fair value of share-based compensation895 — — 895 
Repurchase of common stock (294,464)(11,123)— — (11,123)
Deferred stock rights and restricted stock units issued in lieu of cash dividends payable on outstanding deferred stock rights and restricted stock units5 — — 5 
Common stock redeemed for the net settlement of share-based awards(179)— — (179)
Balance, June 30, 2022$204,071 $192,011 $(30,750)$365,332 



5


First Internet Bancorp
Condensed Consolidated Statements of Cash Flows – Unaudited
(Amounts in thousands except per share data)
 Six Months Ended June 30,
 20232022
Operating Activities  
Net income$865 $20,754 
Adjustments to reconcile net income to net cash used in operating activities:  
Depreciation and amortization2,918 4,604 
Increase in cash surrender value of bank-owned life insurance(498)(469)
Provision for credit losses 1
11,113 1,976 
Share-based compensation expense487 1,534 
Loans originated for sale(170,112)(311,268)
Proceeds from sale of loans166,469 335,226 
Gain on loans sold(9,400)(9,736)
Decrease in fair value of loans held-for-sale143 149 
Gain (loss) on derivatives368 (2,546)
Loan servicing asset revaluation413 767 
Net change in accrued income and other assets(4,985)16,183 
Net change in accrued expenses and other liabilities(2,625)(5,173)
Net cash (used in) provided by operating activities(4,844)52,001 
Investing Activities
Net loan activity, excluding purchases(37,490)(11,665)
Proceeds from sale of other real estate owned 1,188 
Maturities and calls of securities available-for-sale25,446 52,397 
Purchase of securities available-for-sale(14,863)(10,133)
Maturities and calls of securities held-to-maturity11,332 2,309 
Purchase of securities held-to-maturity(49,443)(31,782)
Redemption of Federal Home Loan Bank of Indianapolis stock 431 
Purchase of premises and equipment(3,132)(12,634)
Loans purchased(118,813)(197,514)
Net proceeds from sale of portfolio loans 14,466 
Other investing activities(2,094)374 
Net cash used in investing activities(189,057)(192,563)
Financing Activities
Net increase (decrease) in deposits410,951 (26,858)
Cash dividends paid(1,091)(1,168)
Repurchase of common stock(6,774)(16,240)
Proceeds from advances from Federal Home Loan Bank220,000 220,000 
Repayment of advances from Federal Home Loan Bank(220,000)(270,000)
Other, net(106)(179)
Net cash provided by (used in) financing activities402,980 (94,445)
Net Increase (Decrease) in Cash and Cash Equivalents209,079 (235,007)
Cash and Cash Equivalents, Beginning of Period256,552 442,960 
Cash and Cash Equivalents, End of Period$465,631 $207,953 
Supplemental Disclosures
Cash paid during the period for interest72,013 20,722 
Cash paid during the period for taxes818 1,892 
Loans transferred to other real estate owned106  
Loans transferred to held-for-sale from portfolio 14,049 
Cash dividends declared, paid in subsequent period526 564 
Securities purchased during the period, settled in subsequent period2,632  
Transfer of available-for-sale mortgage-backed securities to held-to-maturity mortgage-backed securities at fair value 96,220 
1Beginning January 1, 2023, the allowance calculation is based on the CECL methodology. Prior to January 1, 2023, the allowance calculation was based on the incurred loss methodology.

See Notes to Condensed Consolidated Financial Statements
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First Internet Bancorp
Notes to Condensed Consolidated Financial Statements – Unaudited
(Table amounts in thousands except share and per share data)
  
Note 1:        Basis of Presentation
 
The accompanying unaudited condensed consolidated financial statements have been prepared in conformity with U.S. generally accepted accounting principles (“GAAP”) for interim financial information and pursuant to the rules and regulations of the U.S. Securities and Exchange Commission (“SEC”). Accordingly, they do not include all of the information or footnotes necessary for a complete presentation of financial condition, results of operations, changes in shareholders’ equity, or cash flows in accordance with GAAP. In our opinion, all adjustments (consisting only of normal recurring adjustments) necessary for a fair presentation have been included. The results of operations for the three and six months ended June 30, 2023 are not necessarily indicative of the results expected for the year ending December 31, 2023 or any other period. The June 30, 2023 condensed consolidated financial statements should be read in conjunction with the consolidated financial statements and notes included in the First Internet Bancorp Annual Report on Form 10-K for the year ended December 31, 2022.
 
The preparation of the condensed consolidated financial statements in conformity with GAAP requires management to make estimates, judgments, or assumptions that could have a material effect on the carrying value of certain assets and liabilities. These estimates, judgments, and assumptions affect the amounts reported in the condensed consolidated financial statements and the disclosures provided. The determination of the allowance for credit losses, income taxes, valuations and impairments of investment securities and goodwill, as well as fair value measurements of derivatives and loans held-for-sale are highly dependent upon management’s estimates, judgments, and assumptions, and changes in any of these could have a significant impact on the condensed consolidated financial statements.

The condensed consolidated financial statements include the accounts of First Internet Bancorp (the “Company”), its wholly owned subsidiary, First Internet Bank of Indiana (the “Bank”), and the Bank’s three wholly owned subsidiaries, First Internet Public Finance Corp., JKH Realty Services, LLC and SPF15, Inc. All significant intercompany accounts and transactions have been eliminated in consolidation.
 
The Company is subject to claims and lawsuits that arise primarily in the ordinary course of business. It is the opinion of management that the disposition or ultimate resolution of such claims and lawsuits will not have a material adverse effect on the consolidated financial position, results of operations, and cash flows of the Company.

Other than the adoption of new accounting standards, the Company has not changed its significant accounting and reporting policies from those disclosed in the Company’s Form 10-K for the year ended December 31, 2022.

Adoption of new accounting standards

ASU 2016 - 13

On January 1, 2023, the Company adopted ASU 2016-03 Financial Instruments - Credit losses (“ASC 326”): Measurement of Credit Losses on Financial Instruments, as amended, which replaces the incurred loss methodology with an expected credit loss (“CECL”) methodology. The CECL estimate is applicable to financial assets measured at amortized cost, including loan receivables and held-to-maturity debt securities. It also applies to off-balance sheet credit exposures, including loan commitments, standby letters of credit, financial guarantees and other similar instruments. Additionally, ASC 326 resulted in changes to the accounting for available-for-sale and held-to-maturity debt securities.

The Company adopted ASC 326 for all financial assets measured at amortized cost, available for sale securities and off-balance sheet credit exposures. Results for reporting periods beginning after January 1, 2023 are presented under ASC 326, while prior period amounts continue to be reported in accordance with previously applicable U.S. GAAP. The Company recorded a net decrease to retained earnings of $4.5 million as of January 1, 2023 for the cumulative effect of adopting ASC 326. The net adjustment to allowance for credit losses (“ACL”) includes $2.3 million related to loans, $1.9 million related to off-balance sheet credit exposures and $0.3 million related to held-to-maturity debt securities.

ACL - Available-For-Sale (“AFS”) Debt Securities

For AFS debt securities in an unrealized loss position, the Company first assesses whether it intends to sell, or it is more likely than not that it will be required to sell, the security before recovery of its amortized cost basis. If either of the
7


criteria regarding intent or requirement to sell is met, the security’s amortized cost basis is written down to fair value through income. For AFS debt securities that do not meet the aforementioned criteria, the Company evaluates whether the decline in fair value has resulted from credit losses or other factors, such as interest rates or market conditions. In making this assessment, management considers the extent to which fair value is less than amortized cost, any changes to the rating of the security by a rating agency and adverse conditions specifically related to the security, among other factors. If this assessment indicates that a credit loss exists, the present value of cash flows expected to be collected from the security are compared to the amortized cost basis of the security. If the present value of cash flows expected to be collected is less than the amortized cost basis, a credit loss exists and an allowance for credit losses is recorded. Changes in the ACL are recorded as a provision for, or recovery of, credit loss expense. Losses are charged against the allowance when management believes that uncollectibility of an AFS debt security is confirmed or when either of the criteria regarding intent or requirement to sell is met.

Accrued interest receivable on AFS debt securities totaled $2.0 million at June 30, 2023 and is excluded from the estimate of credit losses. The Company made the policy election to exclude accrued interest from the amortized cost basis of AFS debt securities and report accrued interest separately on the condensed consolidated balance sheet.

ACL - Held-To-Maturity (“HTM”) Debt Securities

Management measures expected credit losses on HTM debt securities on a collective basis by major security type. Accrued interest receivable on HTM debt securities totaled $1.0 million at June 30, 2023 and is excluded from the estimate of credit losses. The Company made the accounting policy election to not measure an ACL for accrued interest. Accrued interest deemed uncollectible will be written off through interest income. The HTM securities portfolio includes municipal securities, residential mortgage-backed-securities, commercial mortgage-backed securities and corporate securities. All residential and commercial mortgage-backed securities are U.S. government issued or sponsored and substantially all municipal and corporate securities are rated investment grade or above.

The estimate of expected credit losses considers historical credit loss information that is adjusted for current conditions and reasonable and supportable forecasts. At the time of adoption, the estimated reserve was $0.3 million.

ACL - Loans

The ACL for loans represents management's estimate of all expected credit losses over the expected life of the Company’s existing loan portfolio. Management estimates the ACL balance using relevant available information about the collectability of cash flows, from internal and external sources, including historical information relating to past events, current conditions, and reasonable and supportable forecasts of future economic conditions. When the Company is unable to forecast future economic events, management may revert to historical information.

Accrued interest receivable on loans totaled $19.3 million and is excluded from the estimate of credit losses. The Company made the accounting policy election to not measure an ACL for accrued interest receivable. Accrued interest deemed uncollectible will be written off through interest income.

ACL - Loans - Collectively Evaluated

The ACL is measured on a collective pool basis when similar risk characteristics exist. The Company has identified the following portfolio segments in the table below.

The Company utilized a discounted cash flow (“DCF”) method to estimate the quantitative portion of the allowance for credit losses for loans evaluated on a collective pooled basis. For each segment, a loss driver analysis was performed in order to identify loss drivers and create a regression model for use in forecasting cash flows.

In creating the DCF model, the Company has established a one-year reasonable and supportable forecast period with a one-year straight line reversion to the long-term historical average. Due to its minimal loss history, the Company elected to use peer data for a more reasonable calculation.

Key inputs into the DCF model include loan-level detail, including the amortized cost basis of individual loans, payment structure, loss history, and forecasted loss drivers. The Company utilizes a third party to provide economic forecasts under various scenarios, which are assessed quarterly considering the scenarios in the context of the current economic environment and loss risk.

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Expected credit losses are estimated over the contractual term of the loans and adjusted for prepayments when appropriate. The contractual term excludes extensions, renewals, and modifications unless the extension or renewal options are included in the original or modified contract at the reporting date and are not unconditionally cancellable by the Company.

Additional key assumptions in the DCF model include the probability of default (“PD”), loss given default (“LGD”), and prepayment/curtailment rates. The Company utilizes the model-driven PD and a LGD derived from a method referred to as Frye Jacobs. The Frye Jacobs method is a mathematical formula that traces the relationship between LGD and PD over time and projects the LGD based on the level of PD forecasted. In all cases, the Frye Jacobs method is utilized to calculate LGDs during the forecast period, reversion period and long-term historical average. Prepayment and curtailment rates were calculated through third party analysis of the Company’s own data.

Qualitative factors for the DCF and weighted-average remaining maturity methodologies include the following:
Changes in lending policies and procedures, including changes in underwriting standards and collections, charge-offs and recovery practices
Changes in international, national, regional and local conditions
Changes in the nature and volume of the portfolio and terms of loans
Changes in the experience, depth and ability of lending management
Changes in the volume and severity of past due loans and other similar conditions
Changes in the quality of the organization’s loan review system
Changes in the value of underlying collateral for collateral dependent loans
The existence and effect of any concentrations of credit and changes in the levels of such concentrations
The effect of other external factors (i.e. competition, legal and regulatory requirements) on the level of estimated credit losses

ACL - Loans - Individually Evaluated

Loans that do not share risk characteristics are evaluated on an individual basis and are excluded from the collective evaluation. The Company has determined that any loans which have been placed on nonaccrual status will be individually evaluated. Individual analysis will establish a specific reserve for loans, if necessary. Specific reserves on nonaccrual loans are typically based on management’s best estimate of the fair value of collateral securing these loans, adjusted for selling costs as necessary.

ACL - Off-Balance Sheet Credit Exposures

The Company estimates expected credit losses over the contractual period in which the Company is exposed to credit risk via a contractual obligation to extend credit, unless that obligation is unconditionally cancellable by the Company. The ACL for off-balance sheet credit exposure is recorded as a liability and adjusted as a provision for credit loss expense. The estimate includes consideration of the likelihood that funding will occur and an estimate of expected credit losses on commitments expected to be funded over its estimated life. Funding rates are based on a historical analysis of the Company’s portfolio, while estimates of credit losses are determined using the same loss rates as funded loans.

Regulatory Capital

As permitted by the federal banking regulatory agencies, the Company has elected the option to delay the impact of the day one adoption of ASC 326. Refer to “Item 2. Regulatory Capital Requirements” for details of the phase-in transition adjustments.

Modified Loans to Borrowers Experiencing Financial Difficulty

Concurrent with the adoption of ASU 2016-03, the Company adopted ASU 2022-02 “Financial Instruments-Credit Losses (ASC 326): Troubled Debt Restructurings and Vintage Disclosures,” as amended. The update eliminated the accounting guidance for troubled debt restructurings (“TDRs”) by creditors, while enhancing disclosure requirements for certain loan refinancings and restructurings by creditors when a borrower is experiencing financial difficulty.

    



9


Note 2:        Earnings Per Share
 
Earnings per share of common stock are based on the weighted-average number of basic shares and dilutive shares outstanding during the period.
 
The following is a reconciliation of the weighted-average common shares for the basic and diluted earnings per share computations for the three and six months ended June 30, 2023 and 2022. 
(dollars in thousands, except per share data)Three Months Ended June 30,Six Months Ended June 30,
 2023202220232022
Basic earnings per share  
Net income$3,882 $9,545 $865 $20,754 
Weighted-average common shares8,903,213 9,600,383 8,963,308 9,694,729 
Basic earnings per common share$0.44 $0.99 $0.10 $2.14 
Diluted earnings per share    
Net income$3,882 $9,545 $865 $20,754 
Weighted-average common shares8,903,213 9,600,383 8,963,308 9,694,729 
Dilutive effect of equity compensation4,967 58,306 16,954 69,503 
     Weighted-average common and incremental shares8,908,180 9,658,689 8,980,262 9,764,232 
Diluted earnings per common share 1
$0.44 $0.99 $0.10 $2.13 
1 Potential dilutive common shares are excluded from the computation of diluted EPS in the periods where the effect would be antidilutive. Excluded from the computation of diluted EPS were weighted-average antidilutive shares totaling 79,313 and 35,033 for the three and six months ended June 30, 2023, respectively. Excluded from the computation of diluted EPS were weighted-average antidilutive shares totaling 5,560 and 1,198 for the three and six months ended June 30, 2022, respectively.
  
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Note 3:         Securities
 
The following tables summarize securities available-for-sale and securities held-to-maturity as of June 30, 2023 and December 31, 2022.