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SECURITIES - Schedule of Investment Securities Available for Sale in Continuous Unrealized Loss Position (Details) - USD ($)
$ in Thousands
Dec. 31, 2025
Dec. 31, 2024
Fair Value    
Less than 12 months $ 3,915 $ 7,598
12 months or longer 271,172 518,139
Total 275,087 525,737
Unrealized Losses    
Less than 12 months 75 194
12 months or longer 47,291 85,684
Total 47,366 85,878
U.S. treasury notes and bonds    
Fair Value    
Less than 12 months   0
12 months or longer   56,906
Total   56,906
Unrealized Losses    
Less than 12 months   0
12 months or longer   2,974
Total   2,974
Mortgage-backed securities, residential    
Fair Value    
Less than 12 months 0 5,006
12 months or longer 245,329 359,722
Total 245,329 364,728
Unrealized Losses    
Less than 12 months 0 111
12 months or longer 45,296 75,160
Total 45,296 75,271
Collateralized mortgage obligations    
Fair Value    
Less than 12 months 2,931  
12 months or longer 0  
Total 2,931  
Unrealized Losses    
Less than 12 months 59  
12 months or longer 0  
Total 59  
Obligations of states and political subdivisions    
Fair Value    
Less than 12 months 0 107
12 months or longer 9,845 35,398
Total 9,845 35,505
Unrealized Losses    
Less than 12 months 0 3
12 months or longer 243 1,551
Total 243 1,554
Corporate bonds and notes    
Fair Value    
Less than 12 months 984 1,921
12 months or longer 15,998 20,095
Total 16,982 22,016
Unrealized Losses    
Less than 12 months 16 79
12 months or longer 1,752 3,655
Total $ 1,768 3,734
SBA loan pools    
Fair Value    
Less than 12 months   564
12 months or longer   46,018
Total   46,582
Unrealized Losses    
Less than 12 months   1
12 months or longer   2,344
Total   $ 2,345