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Other Comprehensive Income (Loss) (Tables)
12 Months Ended
Dec. 31, 2025
Other Comprehensive Income  
Schedule of other comprehensive income (loss) and related tax effects

The components of other comprehensive income (loss) and related tax effects are as follows for the periods indicated:

For the Year Ended

  ​ ​ ​

December 31, 2025

  ​ ​ ​

December 31, 2024

  ​ ​ ​

December 31, 2023

(In thousands)

Pre-Tax

Tax (Expense)

After-Tax

Pre-Tax

Tax (Expense)

After-Tax

Pre-Tax

Tax (Expense)

After-Tax

Amount

Benefit

Amount

Amount

Benefit

Amount

Amount

Benefit

Amount

Change in fair value of available-for-sale securities

$

6,355

$

(1,605)

$

4,750

$

6,717

$

(1,834)

$

4,883

$

3,740

$

(929)

$

2,811

Less: Reclassification adjustment for realized gains (losses) in net income

(1,867)

525

(1,342)

Net change in fair value of available-for-sale securities

6,355

(1,605)

4,750

4,850

(1,309)

3,541

3,740

(929)

2,811

Change in unrecognized pension losses from director pension plan:

Net actuarial gains (losses) arising during the year

(233)

65

(168)

119

(33)

86

(244)

69

(175)

New prior service costs related to plan amendments

(1,025)

286

(739)

(430)

123

(307)

Less: Reclassification adjustments into net periodic pension cost:

Amortization of prior service costs

248

(69)

179

57

(16)

41

487

(139)

348

Amortization of net actuarial losses

62

(17)

45

86

(24)

62

81

(23)

58

Net change in other comprehensive income for director pension plan

(948)

265

(683)

262

(73)

189

(106)

30

(76)

Change in fair value of cash flow hedge

1,284

(320)

964

(321)

90

(231)

Change in fair value of cash flow hedge, net of tax

1,284

(320)

964

(321)

90

(231)

Total other comprehensive income (loss)

$

6,691

$

(1,660)

$

5,031

$

5,112

$

(1,382)

$

3,730

$

3,313

$

(809)

$

2,504

Schedule of components of accumulated other comprehensive income

For the Year Ended

  ​ ​ ​

December 31, 2025

  ​ ​ ​

December 31, 2024

  ​ ​ ​

December 31, 2023

(In thousands)

Pre-Tax

Tax (Expense)

After-Tax

Pre-Tax

Tax (Expense)

After-Tax

Pre-Tax

Tax (Expense)

After-Tax

Amount

Benefit

Amount

Amount

Benefit

Amount

Amount

Benefit

Amount

Change in fair value of available-for-sale securities

$

6,355

$

(1,605)

$

4,750

$

6,717

$

(1,834)

$

4,883

$

3,740

$

(929)

$

2,811

Less: Reclassification adjustment for realized gains (losses) in net income

(1,867)

525

(1,342)

Net change in fair value of available-for-sale securities

6,355

(1,605)

4,750

4,850

(1,309)

3,541

3,740

(929)

2,811

Change in unrecognized pension losses from director pension plan:

Net actuarial gains (losses) arising during the year

(233)

65

(168)

119

(33)

86

(244)

69

(175)

New prior service costs related to plan amendments

(1,025)

286

(739)

(430)

123

(307)

Less: Reclassification adjustments into net periodic pension cost:

Amortization of prior service costs

248

(69)

179

57

(16)

41

487

(139)

348

Amortization of net actuarial losses

62

(17)

45

86

(24)

62

81

(23)

58

Net change in other comprehensive income for director pension plan

(948)

265

(683)

262

(73)

189

(106)

30

(76)

Change in fair value of cash flow hedge

1,284

(320)

964

(321)

90

(231)

Change in fair value of cash flow hedge, net of tax

1,284

(320)

964

(321)

90

(231)

Total other comprehensive income (loss)

$

6,691

$

(1,660)

$

5,031

$

5,112

$

(1,382)

$

3,730

$

3,313

$

(809)

$

2,504