XML 40 R29.htm IDEA: XBRL DOCUMENT v3.25.2
Investment Securities (Tables)
6 Months Ended
Jun. 30, 2025
Investments, Debt and Equity Securities [Abstract]  
Schedule of Amortized Cost and Fair Value of Debt Securities Available-for-Sale
The amortized cost and fair value of debt securities classified as available-for-sale at June 30, 2025 and December 31, 2024 were as follows:
Gross Unrealized
(dollars in thousands)Total Amortized CostGainsLossesFair Value
June 30, 2025
U.S. Treasury$4,943 $104 $— $5,047 
U.S. government and federal agency obligations381 — (2)379 
U.S. government-sponsored enterprises13,01030(161)12,879
Obligations of states and political subdivisions121,902(24,515)97,387
Mortgage-backed securities
Residential66,012543(2,757)63,798
Commercial15,71513(2,201)13,527
Other debt securities (a)27,854171(585)27,440
Bank issued trust preferred securities (a)1,486(207)1,279
Total available-for-sale securities$251,303 $861 $(30,428)$221,736 
December 31, 2024
U.S. Treasury$4,937 $— $(22)$4,915 
U.S. government and federal agency obligations408(7)401
U.S. government-sponsored enterprises13,02011(227)12,804
Obligations of states and political subdivisions125,5597(23,080)102,486
Mortgage-backed securities
Residential68,34659(4,034)64,371
Commercial16,383(2,644)13,739
Other debt securities (a)19,41949(781)18,687
Bank issued trust preferred securities (a)1,486(237)1,249
Total available-for-sale securities$249,558 $126 $(31,032)$218,652 
(a) Certain hybrid instruments possessing characteristics typically associated with debt obligations.
Schedule of Amortized Cost and Fair Value of Debt Securities Classified as Available-for-Sale by Contractual Maturity Expected maturities may differ from contractual maturities because borrowers have the right to call or prepay obligations with or without prepayment penalties.
(dollars in thousands)Amortized CostFair Value
Due in one year or less$2,209 $2,208 
Due after one year through five years18,08218,118
Due after five years through ten years43,66241,229
Due after ten years105,62382,856
Total$169,576 $144,411 
Mortgage-backed securities81,72777,325
Total available-for-sale securities$251,303 $221,736 
Schedule of Other Securities Investments in FHLB stock, and Midwest Independent BankersBank ("MIB") stock, that do not have readily determinable fair values, are required for membership in those organizations.
(dollars in thousands)June 30, 2025December 31, 2024
Other securities:
FHLB stock$7,434$4,924
MIB stock151151
Equity securities with readily determinable fair values7174
Total other investment securities$7,656$5,149
Schedule of Gross Unrealized Losses on Debt Securities and Fair Value of Related Securities Aggregated by Investment Category and Length of Time that Individual Securities have been in a Continuous Unrealized Loss Position
Gross unrealized losses on debt securities and the fair value of the related securities, aggregated by investment category and length of time that individual securities have been in a continuous unrealized loss position, at June 30, 2025 and December 31, 2024 were as follows:
Less than 12 months12 months or more
(dollars in thousands)Fair ValueUnrealized Losses Fair ValueUnrealized LossesTotal Fair ValueTotal Unrealized Losses
June 30, 2025
U.S. government and federal agency obligations$— $— $380 $(2)$380 $(2)
U.S. government-sponsored enterprises— — 1,839 (161)1,839 (161)
Obligations of states and political subdivisions2,968 (86)94,095 (24,429)97,063 (24,515)
Mortgage-backed securities
Residential3,560 (5)22,147 (2,752)25,707 (2,757)
Commercial2,204 (20)9,956 (2,181)12,160 (2,201)
Other debt securities7,087 (122)7,361 (463)14,448 (585)
Bank issued trust preferred securities— — 1,279 (207)1,279 (207)
Total$15,819 $(233)$137,057 $(30,195)$152,876 $(30,428)
(dollars in thousands)
December 31, 2024
U.S. Treasury$4,915 $(22)$— $— $4,915 $(22)
U.S. government and federal agency obligations— — 401 (7)401 (7)
U.S. government-sponsored enterprises996 (5)1,778 (222)2,774 (227)
Obligations of states and political subdivisions2,791 (163)98,442 (22,917)101,233 (23,080)
Mortgage-backed securities
Residential34,179 (435)23,453 (3,599)57,632 (4,034)
Commercial3,580 (128)10,159 (2,516)13,739 (2,644)
Other debt securities4,900 (58)9,101 (723)14,001 (781)
Bank issued trust preferred securities— — 1,249 (237)1,249 (237)
Total$51,361 $(811)$144,583 $(30,221)$195,944 $(31,032)