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Investment Securities - Schedule of Contractual Maturities (Details) - USD ($)
$ in Thousands
Mar. 31, 2026
Dec. 31, 2025
Mar. 31, 2025
Securities available for sale      
Amortized Cost, Due in 1 year or less $ 90 $ 92 $ 1,514
Fair Value (Estimated), Due in 1 year or less 90 92 1,499
Amortized Cost, Due in 1 to 5 years 7,854 7,413 261
Fair Value (Estimated), Due in 1 to 5 years 6,964 6,584 260
Amortized Cost, Due in 5 to 10 years 20,725 20,390 29,329
Fair Value (Estimated), Due in 5 to 10 years 18,949 18,693 25,758
Amortized Cost, Due after 10 years 269,624 276,258 298,649
Fair Value (Estimated), Due after 10 years 230,785 239,111 253,247
Amortized Cost 298,293 304,153 329,753
Fair Value (Estimated) 256,788 264,480 280,764
Securities to be held to maturity      
Amortized Cost, Due in 1 year or less 1,733 1,729 2,704
Fair Value (Estimated), Due in 1 year or less 1,730 1,725 2,714
Amortized Cost, Due in 1 to 5 years 35,943 34,803 24,370
Fair Value (Estimated), Due in 1 to 5 years 34,290 33,363 23,098
Amortized Cost, Due in 5 to 10 years 106,371 98,390 104,094
Fair Value (Estimated), Due in 5 to 10 years 100,124 94,855 96,115
Amortized Cost, Due after 10 years 210,155 221,152 237,600
Fair Value (Estimated), Due after 10 years 172,532 185,539 190,861
Amortized Cost 354,202 356,074 368,768
Fair Value (Estimated) $ 308,676 $ 315,482 $ 312,788