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BORROWINGS (Tables)
6 Months Ended
Jun. 30, 2026
BORROWINGS  
Schedule of Short-term borrowings and weighted-average interest rates

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​

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​

​

​

​

​

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(Dollars in thousands)

​

June 30, 2026

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​

December 31, 2025

 

​

​

​

​

​

​

Average

​

​

​

​

​

Average

 

​

​

  ​ ​ ​

Amount

  ​ ​ ​

Rate

  ​ ​ ​

​

Amount

  ​ ​ ​

Rate

 

  ​ ​ ​

Federal funds purchased

 

$

—

​

—

%  

​

$

—

 

5.49

%

 

Securities sold under agreements to repurchase

​

 

35,604

​

3.47

%  

​

 

36,845

 

3.84

%

​

Federal Discount Window

​

 

—

​

3.65

%  

​

 

—

 

4.50

%

​

Federal Home Loan Bank of Pittsburgh

​

 

100,000

​

3.99

%  

​

 

100,000

 

4.64

%

​

Total

​

$

135,604

​

3.85

%  

​

$

136,845

 

4.45

%

​

Schedule of the repurchase agreements subject to enforceable master netting arrangements

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(Dollars in thousands)

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​

​

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​

​

​

​

​

​

Gross Amounts Not Offset in the Consolidated Balance Sheet

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​

​

​

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Gross

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Net Amounts

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​

​

​

​

​

​

​

​

​

​

​

​

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Amounts

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of Liabilities

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​

​

​

​

​

​

​

​

​

​

Gross

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Offset in the

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Presented

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​

​

​

​

​

​

​

​

​

​

Amounts of

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Consolidated

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in the

​

​

​

​

Cash

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​

​

​

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Recognized

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Balance

​

Consolidated

​

Financial

​

Collateral

​

Net

​

​

Liabilities

​

Sheet

​

Balance Sheet

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Instruments

​

Pledge

​

Amount

June 30, 2026

 

​

  ​

 

​

  ​

 

​

  ​

 

​

  ​

 

​

  ​

 

​

  ​

Repurchase agreements (a)

​

$

35,604

​

$

—

​

$

35,604

​

$

(35,604)

​

$

—

​

$

—

​

​

 

  ​

​

 

  ​

​

 

  ​

​

 

  ​

​

 

  ​

​

 

  ​

December 31, 2025

​

 

  ​

​

 

  ​

​

 

  ​

​

 

  ​

​

 

  ​

​

 

  ​

Repurchase agreements (a)

​

$

36,845

​

$

—

​

$

36,845

​

$

(36,845)

​

$

—

​

$

—

(a)As of June 30, 2026 and December 31, 2025, the fair value of securities pledged in connection with repurchase agreements was $41,823,000 and $44,220,000, respectively.
Schedule of the remaining contractual maturity of the master netting arrangement or repurchase agreements

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​

​

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​

​

(Dollars in thousands)

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Remaining Contractual Maturity of the Agreements

​

​

Overnight

​

​

​

​

Greater

​

Greater

​

​

​

​

​

and

​

Up to

​

30 -90

​

than

​

​

​

​

​

Continuous

​

30 days

​

Days

​

90 Days

​

Total

June 30, 2026:

​

​

​

​

​

​

​

​

​

​

​

​

​

​

​

Repurchase agreements and repurchase-to-maturity transactions:

 

​

  ​

 

​

  ​

 

​

  ​

 

​

  ​

 

​

  ​

U.S. Treasury and/or agency securities

​

$

35,604

​

$

—

​

$

—

​

$

—

​

$

35,604

Total

​

$

35,604

​

$

—

​

$

—

​

$

—

​

$

35,604