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Investment Securities (Tables)
12 Months Ended
Dec. 31, 2024
Investments, Debt and Equity Securities [Abstract]  
Available-for-sale Securities
The following table is the schedule of Available-For-Sale Securities at December 31, 2024 and 2023:
Available-For-Sale Securities
U.S. TreasuriesU.S. Government & Agency
Obligations
State and
Municipal
Obligations
Mortgage-
Backed
Securities
Corporate
and Other
Debt
Securities
Total
Available-
For-Sale
Securities
December 31, 2024
Available-For-Sale Securities,
  at Amortized Cost
$97,985 $70,000 $240 $330,448 $1,000 $499,673 
Gross Unrealized Gains90 32 — 29 — 151 
Gross Unrealized Losses(5)(818)— (35,869)(21)(36,713)
Available-For-Sale Securities,
  at Fair Value
$98,070 $69,214 $240 $294,608 $979 $463,111 
Available-For-Sale Securities,
  Pledged as Collateral,
  at Fair Value
181,759 
Maturities of Debt Securities,
at Amortized Cost:
Within One Year24,960 45,000 — 1,852 — 71,812 
From 1 - 5 Years24,650 25,000 — 166,436 1,000 217,086 
From 5 - 10 Years48,375 — 240 162,160 — 210,775 
Over 10 Years— — — — — — 
Maturities of Debt Securities,
at Fair Value:
Within One Year25,046 44,932 — 1,826 — 71,804 
From 1 - 5 Years24,654 24,282 — 149,746 979 199,661 
From 5 - 10 Years48,370 — 240 143,036 — 191,646 
Over 10 Years— — — — — — 
Securities in a Continuous
Loss Position, at Fair Value:
Less than 12 Months$48,370 $— $— $66,958 $— $115,328 
12 Months or Longer— 54,182 — 221,305 979 276,466 
Total$48,370 $54,182 $— $288,263 $979 $391,794 
Available-For-Sale Securities
U.S. TreasuriesU.S. Government & Agency
Obligations
State and
Municipal
Obligations
Mortgage-
Backed
Securities
Corporate
and Other
Debt
Securities
Total
Available-
For-Sale
Securities
Number of Securities in a
  Continuous Loss Position
— 97 107 
Unrealized Losses on
Securities in a Continuous
Loss Position:
Less than 12 Months$$— $— $2,037 $— $2,042 
12 Months or Longer— 818 — 33,832 21 34,671 
Total$$818 $— $35,869 $21 $36,713 
Disaggregated Details:
US Treasury Obligations,
  at Amortized Cost
$97,985 
US Treasury Obligations,
  at Fair Value
98,070 
US Agency Obligations,
  at Amortized Cost
$70,000 
US Agency Obligations,
  at Fair Value
69,214 
Local Municipal Obligations, at Amortized Cost$240 
Local Municipal Obligations, at Fair Value240 
US Government Agency
  Securities, at Amortized Cost
$6,712 
US Government Agency
  Securities, at Fair Value
6,464 
Government Sponsored Entity
  Securities, at Amortized Cost
323,736 
Government Sponsored Entity
  Securities, at Fair Value
288,144 
Corporate Trust Preferred Securities, at Amortized Cost$1,000 
Corporate Trust Preferred Securities, at Fair Value979 




Available-For-Sale Securities
U.S. TreasuriesU.S. Government & Agency
Obligations
State and
Municipal
Obligations
Mortgage-
Backed
Securities
Corporate
and Other
Debt
Securities
Total
Available-
For-Sale
Securities
December 31, 2023
Available-For-Sale Securities,
  at Amortized Cost
$73,761 $160,000 $280 $305,161 $1,000 $540,202 
Gross Unrealized Gains243 51 — — 300 
Gross Unrealized Losses— (7,126)— (35,407)(200)(42,733)
Available-For-Sale Securities,
  at Fair Value
$74,004 $152,925 $280 $269,760 $800 $497,769 
Available-For-Sale Securities,
  Pledged as Collateral,
  at Fair Value
242,938 
Securities in a Continuous
Loss Position, at Fair Value:
Less than 12 Months$— $— $— $— $— $— 
12 Months or Longer— 137,874 — 269,286 800 407,960 
Total$— $137,874 $— $269,286 $800 $407,960 
Number of Securities in a
  Continuous Loss Position
— 19 — 97 117 
Unrealized Losses on
Securities in a Continuous
Loss Position:
Less than 12 Months$— $— $— $— $— $— 
12 Months or Longer— 7,126 — 35,407 200 42,733 
Total$— $7,126 $— $35,407 $200 $42,733 
Disaggregated Details:
US Treasury Obligations,
  at Amortized Cost
$73,761 
US Treasury Obligations,
  at Fair Value
74,004 
US Agency Obligations,
  at Amortized Cost
$160,000 
US Agency Obligations,
  at Fair Value
152,925 
Local Municipal Obligations, at Amortized Cost$280 
Local Municipal Obligations, at Fair Value280 
US Government Agency
  Securities, at Amortized Cost
$7,291 
US Government Agency
  Securities, at Fair Value
6,864 
Government Sponsored Entity
  Securities, at Amortized Cost
297,870 
Government Sponsored Entity
  Securities, at Fair Value
262,896 
Corporate Trust Preferred Securities, at Amortized Cost$1,000 
Corporate Trust Preferred Securities, at Fair Value800 
The following is a summary of realized losses recognized in net income on available-for-sale securities sold during the years ended December 31, 2024 and 2023:
December 31,
20242023
Proceeds Received on Sale of AFS Securities$71,962 $100,739 
Basis of AFS investments Sold75,000 109,836 
Net Loss Recognized on Sale of AFS Securities$(3,038)$(9,097)
Held-to-maturity Securities
The following table is the schedule of Held-To-Maturity Securities at December 31, 2024 and 2023:
Held-To-Maturity Securities
State and
Municipal
Obligations
Mortgage-
Backed
Securities
Total
Held-To
Maturity
Securities
December 31, 2024
Held-To-Maturity Securities,
  at Amortized Cost
$91,829 $6,432 $98,261 
Gross Unrealized Gains— — — 
Gross Unrealized Losses(1,456)(219)(1,675)
Held-To-Maturity Securities,
  at Fair Value
$90,373 $6,213 $96,586 
Held-To-Maturity Securities,
  Pledged as Collateral, at Carrying Value
72,506 
Held-To-Maturity Securities,
  Pledged as Collateral, at Fair Value
70,831 
Maturities of Debt Securities,
at Amortized Cost:
Within One Year53,355 756 54,111 
From 1 - 5 Years36,209 5,676 41,885 
From 5 - 10 Years2,259 — 2,259 
Over 10 Years— 
Maturities of Debt Securities,
at Fair Value:
Within One Year53,039 746 53,785 
From 1 - 5 Years35,105 5,467 40,572 
From 5 - 10 Years2,223 — 2,223 
Over 10 Years— 
Securities in a Continuous
Loss Position, at Fair Value:
Less than 12 Months$378 $— $378 
12 Months or Longer68,112 6,212 74,324 
Total$68,490 $6,212 $74,702 
Number of Securities in a
  Continuous Loss Position
219 16 235 
Unrealized Losses on Securities
in a Continuous Loss Position:
Less than 12 Months$$— $
12 Months or Longer1,454 219 1,673 
Total$1,456 $219 $1,675 
Disaggregated Details:
Municipal Securities, at Amortized Cost$91,829 
Municipal Securities, at Fair Value90,373 
US Government Agency
  Securities, at Amortized Cost
$2,308 
Held-To-Maturity Securities
State and
Municipal
Obligations
Mortgage-
Backed
Securities
Total
Held-To
Maturity
Securities
US Government Agency
  Securities, at Fair Value
2,221 
Government Sponsored Entity
  Securities, at Amortized Cost
4,124 
Government Sponsored Entity
  Securities, at Fair Value
3,992 
December 31, 2023
Held-To-Maturity Securities,
  at Amortized Cost
$122,450 $8,945 $131,395 
Gross Unrealized Gains— — — 
Gross Unrealized Losses(2,157)(401)(2,558)
Held-To-Maturity Securities,
  at Fair Value
$120,293 $8,544 $128,837 
Held-To-Maturity Securities,
  Pledged as Collateral, at Carrying Value
115,030 
Held-To-Maturity Securities,
  Pledged as Collateral, at Fair Value
112,472 
Securities in a Continuous
Loss Position, at Fair Value:
Less than 12 Months$1,472 $— $1,472 
12 Months or Longer102,839 8,544 111,383 
Total$104,311 $8,544 $112,855 
Number of Securities in a
  Continuous Loss Position
319 16 335 
Unrealized Losses on Securities
in a Continuous Loss Position:
Less than 12 Months$14 $— $14 
12 Months or Longer2,143 402 2,545 
Total$2,157 $402 $2,559 
Disaggregated Details:
Municipal Securities, at Amortized Cost$122,450 
Municipal Securities, at Fair Value120,293 
US Government Agency
  Securities, at Amortized Cost
$3,114 
US Government Agency
  Securities, at Fair Value
2,954 
Government Sponsored Entity
  Securities, at Amortized Cost
5,831 
Government Sponsored Entity
  Securities, at Fair Value
5,589 
Debt Securities, Trading, and Equity Securities, FV-NI
The following table is the schedule of Equity Securities at December 31, 2024 and 2023.
Equity Securities
December 31,
20242023
Equity Securities, at Fair Value$5,055 $1,925 
Gain (Loss) on Securities
The following is a summary of realized and unrealized gains and losses recognized in income on equity securities during the years ended December 31, 2024 and 2023:
December 31,
20242023
Net Gain on Equity Securities$131 $9,005 
Less: Net Gain recognized during the reporting period on equity securities sold during the period— 9,254 
Unrealized Net Gain (Loss) recognized during the reporting period on equity securities still held at the reporting date$131 $(249)
Federal Home Loan Bank, Advance, Branch of FHLBank
Schedule of Federal Reserve Bank and Federal Home Loan Bank Stock (at cost)
December 31,
20242023
Federal Reserve Bank Stock$1,204 $1,197 
Federal Home Loan Bank Stock3,149 3,852 
Total Federal Reserve Bank and Federal Home Loan Bank Stock$4,353 $5,049