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Securities (Tables)
12 Months Ended
Dec. 31, 2025
Investments, Debt and Equity Securities [Abstract]  
Schedule of Available for Sale Debt Securities
AFS debt securities at December 31, 2025 and 2024 were as follows: 

 December 31, 2025
 AmortizedGross UnrealizedAllowance ForFair
CostGainsLosses Credit LossesValue
U.S. Gov’t sponsored entities$113,211 $100 $(216)$— $113,095 
State & political subdivisions96,607 47 (8,806)— 87,848 
Residential & multi-family mortgage352,004 492 (24,249)— 328,247 
Corporate notes & bonds49,512 180 (1,752)— 47,940 
Pooled SBA7,578 (380)— 7,200 
Total$618,912 $821 $(35,403)$— $584,330 

 December 31, 2024
 AmortizedGross UnrealizedAllowance ForFair
CostGainsLossesCredit LossesValue
U.S. Gov’t sponsored entities$14,795 $17 $(2)$— $14,810 
State & political subdivisions104,025 11 (13,080)— 90,956 
Residential & multi-family mortgage352,983 60 (34,133)— 318,910 
Corporate notes & bonds39,022 — (3,812)— 35,210 
Pooled SBA9,398 — (738)— 8,660 
Total$520,223 $88 $(51,765)$— $468,546 
Information pertaining to AFS security sales is as follows:

Year ended December 31ProceedsGross GainsGross Losses
2025340,966 1,168 — 
2024806 83 
202313,151 52 — 
Schedule of Held-To-Maturity Debt Securities
HTM debt securities at December 31, 2025 and 2024 are as follows:

 December 31, 2025
 AmortizedGross UnrealizedAllowance ForFair
CostGainsLossesCredit LossesValue
U.S. Gov’t sponsored entities$177,569 $— $(6,061)$— $171,508 
Residential & multi-family mortgage64,569 — (6,383)— 58,186 
Total$242,138 $— $(12,444)$— $229,694 

 December 31, 2024
 AmortizedGross UnrealizedAllowance ForFair
CostGainsLossesCredit LossesValue
U.S. Gov’t sponsored entities$229,504 $— $(13,354)$— $216,150 
Residential & multi-family mortgage76,577 — (9,757)— 66,820 
Total$306,081 $— $(23,111)$— $282,970 
HTM debt securities with unrealized losses at December 31, 2025 and 2024, aggregated by investment category and length of time that individual securities have been in a continuous unrealized loss position, were as follows:

December 31, 2025Less than 12 Months12 Months or MoreTotal
Description of SecuritiesFair
Value
Unrealized
Loss
Fair
Value
Unrealized
Loss
Fair
Value
Unrealized
Loss
U.S. Gov’t sponsored entities$— $— $171,508 $(6,061)$171,508 $(6,061)
Residential & multi-family mortgage— — 58,186 (6,383)58,186 (6,383)
Total$— $— $229,694 $(12,444)$229,694 $(12,444)
December 31, 2024Less than 12 Months12 Months or MoreTotal
Description of SecuritiesFair
Value
Unrealized
Loss
Fair
Value
Unrealized
Loss
Fair
Value
Unrealized
Loss
U.S. Gov’t sponsored entities$— $— $216,150 $(13,354)$216,150 $(13,354)
State & political subdivisions— — 66,820 (9,757)66,820 (9,757)
Total$— $— $282,970 $(23,111)$282,970 $(23,111)
Schedule of Contractual Maturity of Securities Available for Sale and Held-To-Maturity, Excluding Equity Securities
The following is a schedule of the contractual maturity of AFS and HTM debt securities, excluding equity securities, at December 31, 2025:

 Available-for-saleHeld-to-maturity
 Amortized CostFair ValueAmortized CostFair Value
1 year or less$4,909 $4,896 $74,674 $73,844 
1 year – 5 years79,832 76,806 88,997 85,233 
5 years – 10 years159,798 155,601 13,898 12,431 
After 10 years14,791 11,580 — — 
259,330 248,883 177,569 171,508 
Residential and multi-family mortgage352,004 328,247 64,569 58,186 
Pooled SBA7,578 7,200 — — 
Total debt securities$618,912 $584,330 $242,138 $229,694 
Schedule of AFS with Unrealized Loss Position
AFS debt securities with unrealized losses at December 31, 2025 and 2024, aggregated by investment category and length of time that individual securities have been in a continuous unrealized loss position, were as follows:

December 31, 2025Less than 12 Months12 Months or MoreTotal
Description of SecuritiesFair
Value
Unrealized
Loss
Fair
Value
Unrealized
Loss
Fair
Value
Unrealized
Loss
U.S. Gov’t sponsored entities$42,705 $(216)$— $— $42,705 $(216)
State & political subdivisions2,380 (1)75,516 (8,805)77,896 (8,806)
Residential & multi-family mortgage123,186 (835)143,001 (23,414)266,187 (24,249)
Corporate notes & bonds13,146 (333)24,175 (1,419)37,321 (1,752)
Pooled SBA57 (1)6,876 (379)6,933 (380)
Total$181,474 $(1,386)$249,568 $(34,017)$431,042 $(35,403)

December 31, 2024Less than 12 Months12 Months or MoreTotal
Description of SecuritiesFair
Value
Unrealized
Loss
Fair
Value
Unrealized
Loss
Fair
Value
Unrealized
Loss
U.S. Gov’t sponsored entities$249 $(1)$3,340 $(1)$3,589 $(2)
State & political subdivisions6,519 (90)80,172 (12,990)86,691 (13,080)
Residential and multi-family mortgage118,057 (810)159,576 (33,323)277,633 (34,133)
Corporate notes & bonds987 (13)34,224 (3,799)35,211 (3,812)
Pooled SBA410 (2)8,250 (736)8,660 (738)
Total$126,222 $(916)$285,562 $(50,849)$411,784 $(51,765)
Schedule of Trading Securities
Equity securities at December 31, 2025 and 2024 were as follows:
December 31, 2025December 31, 2024
Corporate equity securities$4,745 $6,542 
Mutual funds3,792 1,936 
Money market245 287 
Corporate notes2,083 1,691 
Total$10,865 $10,456