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Accumulated Other Comprehensive Income (Loss) (Tables)
9 Months Ended
Sep. 30, 2025
Accumulated Other Comprehensive Income (Loss)  
Schedule of components of accumulated other comprehensive income (loss), included in stockholders' equity

    

September 30, 

    

December 31, 

2025

2024

(In thousands)

Net unrealized loss on securities available-for-sale

$

(10,214)

$

(12,130)

Net unrealized loss for unfunded status of defined benefit plan liability

(654)

(654)

(10,868)

(12,784)

Less: Tax effect

2,282

2,684

Net-of-tax amount

$

(8,586)

$

(10,100)

Schedule of reclassification out of accumulated other comprehensive income

Three months ended

Three months ended

September 30, 2025

September 30, 2024

Net unrealized

Net unrealized

(Loss)

Defined

(Loss)

Defined

Gain on Available

Benefit

Gain on Available

Benefit

    

For Sale Securities

    

Plan

    

Total

    

For Sale Securities

    

Plan

    

Total

(In thousands)

Beginning balance

$

(13,979)

$

(517)

$

(14,496)

$

(10,790)

$

(429)

$

(11,219)

Other comprehensive income (loss) before reclassification

5,910

5,910

4,061

4,061

Amounts reclassified from accumulated other comprehensive gain (loss)

Net current -period other comprehensive income (loss)

5,910

5,910

4,061

4,061

Ending balance

$

(8,069)

$

(517)

$

(8,586)

$

(6,729)

$

(429)

$

(7,158)

Nine months ended

Nine months ended

September 30, 2025

September 30, 2024

Net unrealized

Net unrealized

(Loss)

Defined

(Loss)

Defined

Gain on Available

Benefit

Gain on Available

Benefit

    

For Sale Securities

    

Plan

    

Total

    

For Sale Securities

    

Plan

    

Total

(In thousands)

Beginning balance

$

(9,583)

$

(517)

$

(10,100)

$

(7,049)

$

(429)

$

(7,478)

Other comprehensive income (loss) before reclassification

1,627

1,627

228

228

Amounts reclassified from accumulated other comprehensive (gain) loss

(113)

(113)

92

92

Net current -period other comprehensive income (loss)

1,514

1,514

320

320

Ending balance

$

(8,069)

$

(517)

$

(8,586)

$

(6,729)

$

(429)

$

(7,158)