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Investment Securities (Tables)
3 Months Ended
Mar. 31, 2026
Investments, Debt and Equity Securities [Abstract]  
Debt Securities, Available-For-Sale
The following table is the schedule of Available-For-Sale Securities at March 31, 2026 and December 31, 2025:
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
March 31, 2026
Available-For-Sale Securities,
  at Amortized Cost
$78,523 $25,000 $200 $408,303 $26,250 $538,276 
Gross Unrealized Gains1,352 — — 1,203 331 2,886 
Gross Unrealized Losses (73)(198)— (22,031)(57)(22,359)
Available-For-Sale Securities,
  at Fair Value
79,802 24,802 200 387,475 26,524 518,803 
Available-For-Sale Securities,
  Pledged as Collateral, at Fair
  Value
264,016 
Maturities of Debt Securities,
  at Amortized Cost:
Within One Year$— $15,000 $— $111 $— $15,111 
From 1 - 5 Years73,465 10,000 200 39,288 1,000 123,953 
From 5 - 10 Years5,058 — — 64,801 25,250 95,109 
Over 10 Years— — — 304,103 — 304,103 
Maturities of Debt Securities,
  at Fair Value:
Within One Year$— $14,856 $— $111 $— $14,967 
From 1 - 5 Years74,817 9,946 200 38,856 980 124,799 
From 5 - 10 Years4,985 — — 60,630 25,544 91,159 
Over 10 Years— — — 287,878 — 287,878 
Securities in a Continuous
  Loss Position, at Fair Value:
Less than 12 Months$4,985 $— $— $75,348 $9,213 $89,546 
12 Months or Longer— 24,802 — 184,721 980 210,503 
Total$4,985 $24,802 $— $260,069 $10,193 $300,049 
Number of Securities in a
  Continuous Loss Position
— 90 102 
Unrealized Losses on
  Securities in a Continuous
  Loss Position:
Less than 12 Months$73 $— $— $896 $37 $1,006 
12 Months or Longer— 198 — 21,135 20 21,353 
Total$73 $198 $— $22,031 $57 $22,359 
December 31, 2025
Available-For-Sale Securities,
  at Amortized Cost
$78,436 $25,000 $200 $385,766 $23,500 $512,902 
Gross Unrealized Gains2,139 — — 2,153 194 4,486 
Gross Unrealized Losses(12)(184)— (21,238)(86)(21,520)
Available-For-Sale Securities,
  at Fair Value
80,563 24,816 200 366,681 23,608 495,868 
Available-For-Sale Securities,
  Pledged as Collateral,
  at Fair Value
234,933 
Securities in a Continuous
  Loss Position, at Fair Value:
Less than 12 Months$5,047 $— $— $13,154 $4,436 $22,637 
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
12 Months or Longer— 24,816 — 193,635 979 219,430 
Total$5,047 $24,816 $— $206,789 $5,415 $242,067 
Number of Securities in a
  Continuous Loss Position
— 83 91 
Unrealized Losses on
  Securities in a Continuous
  Loss Position:
Less than 12 Months$12 $— $— $$64 $84 
12 Months or Longer— 184 — 21,230 22 21,436 
Total$12 $184 $— $21,238 $86 $21,520 
Held-To-Maturity Securities
The following table is the schedule of Held-To-Maturity Securities at March 31, 2026 and December 31, 2025:
Held-To-Maturity Securities
State and
Municipal
Obligations
Mortgage-
Backed
Securities
Total
Held-To
Maturity
Securities
March 31, 2026
Held-To-Maturity Securities,
  at Amortized Cost
$62,081 $3,565 $65,646 
Gross Unrealized Losses(246)(79)(325)
Held-To-Maturity Securities,
  at Fair Value
61,835 3,486 65,321 
Held-To-Maturity Securities,
  Pledged as Collateral, at Carrying Value
33,703 
Held-To-Maturity Securities,
  Pledged as Collateral, at Fair Value
33,378 
Maturities of Debt Securities,
  at Amortized Cost:
Within One Year$46,161 $— $46,161 
From 1 - 5 Years14,560 2,261 16,821 
From 5 - 10 Years1,360 — 1,360 
Over 10 Years— 1,304 1,304 
Maturities of Debt Securities,
  at Fair Value:
Within One Year$46,095 $— $46,095 
From 1 - 5 Years14,385 2,222 16,607 
From 5 - 10 Years1,355 — 1,355 
Over 10 Years— 1,264 1,264 
Securities in a Continuous
  Loss Position, at Fair Value:
Less than 12 Months$792 $— $792 
12 Months or Longer31,058 3,485 34,543 
Total$31,850 $3,485 $35,335 
Held-To-Maturity Securities
State and
Municipal
Obligations
Mortgage-
Backed
Securities
Total
Held-To
Maturity
Securities
Number of Securities in a
  Continuous Loss Position
109 16 125 
Unrealized Losses on Securities
   in a Continuous Loss Position:
Less than 12 Months$$— $
12 Months or Longer243 79 322 
Total$246 $79 $325 
December 31, 2025
Held-To-Maturity Securities,
  at Amortized Cost
$62,870 $4,105 $66,975 
Gross Unrealized Losses(324)(82)(406)
Held-To-Maturity Securities,
  at Fair Value
62,546 4,023 66,569 
Held-To-Maturity Securities,
  Pledged as Collateral, at Carrying Value
35,078 
Held-To-Maturity Securities,
  Pledged as Collateral, at Fair Value
34,672 
Securities in a Continuous
  Loss Position, at Fair Value:
Less than 12 Months$400 $— $400 
12 Months or Longer32,138 4,023 36,161 
Total$32,538 $4,023 $36,561 
Number of Securities in a
  Continuous Loss Position
109 16 125 
Unrealized Losses on
  Securities in a Continuous
  Loss Position:
Less than 12 Months$— $— $— 
12 Months or Longer324 82 406 
Total$324 $82 $406 
Debt Securities, Trading, and Equity Securities, FV-NI
The following table is the schedule of Equity Securities at March 31, 2026 and December 31, 2025:
Equity Securities
March 31, 2026December 31, 2025
Equity Securities, at Fair Value$5,742$5,597
Unrealized Gain (Loss) on Investments
The following is a summary of realized and unrealized gains and losses recognized in income on equity securities during the three month periods ended March 31, 2026 and 2025:
Three Months Ended March 31,
20262025
Net Gain on Equity Securities$145 $317 
Less: Net gain recognized during the reporting period on equity securities sold during the period— — 
Unrealized net gain recognized during the reporting period on equity securities still held at the reporting date$145 $317