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SECURITIES - Schedule of Contractual Maturity of Securities Available for Sale, Excluding Equity Securities (Details) - USD ($)
$ in Thousands
Mar. 31, 2026
Dec. 31, 2025
Amortized Cost    
1 year or less $ 7,420  
1 year – 5 years 81,352  
5 years – 10 years 132,271  
After 10 years 14,786  
Total, Amortized Cost 235,829  
Total debt securities 734,788  
Fair Value    
1 year or less 7,392  
1 year – 5 years 78,198  
5 years – 10 years 127,593  
After 10 years 11,445  
Total, Fair Value 224,628  
Total debt securities 695,532 $ 584,330
Amortized Cost    
1 year or less 82,771  
1 year – 5 years 70,870  
5 years – 10 years 8,980  
After 10 years 0  
Total, Amortized Cost 162,621  
Total debt securities 225,193 242,138
Fair Value    
1 year or less 81,826  
1 year – 5 years 66,987  
5 years – 10 years 8,003  
After 10 years 0  
Total, Fair Value 156,816  
Total debt securities 212,570 229,694
Residential and multi-family mortgage    
Amortized Cost    
Mortgage & asset backed securities, Amortized Cost 491,697  
Fair Value    
Mortgage & asset backed securities, Fair Value 464,036  
Total debt securities 464,036 328,247
Amortized Cost    
Mortgage & asset backed securities, Amortized Cost 62,572  
Fair Value    
Mortgage & asset backed securities, Fair Value 55,754  
Total debt securities 55,753 58,186
Pooled SBA    
Amortized Cost    
Mortgage & asset backed securities, Amortized Cost 7,262  
Fair Value    
Mortgage & asset backed securities, Fair Value 6,868  
Total debt securities 6,868 $ 7,200
Amortized Cost    
Mortgage & asset backed securities, Amortized Cost 0  
Fair Value    
Mortgage & asset backed securities, Fair Value $ 0