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Loans - Risk Category of Mortgage and Non-mortgage Loans (Details) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended 12 Months Ended
Sep. 30, 2025
Sep. 30, 2024
Sep. 30, 2025
Sep. 30, 2024
Dec. 31, 2024
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 $ 358,069   $ 358,069   $ 530,766
2024/2023 499,565   499,565   671,546
2023/2022 686,745   686,745   1,021,841
2022/2021 1,035,561   1,035,561   647,745
2021/2020 613,227   613,227   501,483
Prior 3,235,986   3,235,986   3,097,915
Revolving Loans Amortized Cost Basis 230,030   230,030   266,070
Revolving Loans converted to term loans 9,729   9,729   10,507
Total loans, net of fees and costs excluding portfolio layer basis adjustments 6,668,912   6,668,912   6,747,873
Gross charge-offs          
2023/2022     871    
2022/2021     4,302   4,121
Prior     4,084   765
Revolving Loans Amortized Cost Basis     95   3,083
Total 2,024 $ 3,110 9,352 $ 3,179 7,969
Basis adjustments (1,421)   (1,421)   2,025
Portfolio Layer Hedges on Closed Portfolio of Loans | Designated as hedging instrument          
Gross charge-offs          
Basis adjustments 1,400   1,400   (2,000)
Pass [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 349,594   349,594   521,213
2024/2023 484,369   484,369   663,189
2023/2022 681,544   681,544   998,274
2022/2021 1,027,942   1,027,942   639,443
2021/2020 572,650   572,650   480,812
Prior 3,069,889   3,069,889   2,953,212
Revolving Loans Amortized Cost Basis 213,128   213,128   260,031
Revolving Loans converted to term loans 7,660   7,660   8,588
Total loans, net of fees and costs excluding portfolio layer basis adjustments 6,406,776   6,406,776   6,524,762
Watch          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 75   75   8,837
2024/2023 14,536   14,536   4,850
2023/2022 4,884   4,884   8,513
2022/2021 4,652   4,652   5,907
2021/2020 39,031   39,031   17,415
Prior 119,747   119,747   100,781
Revolving Loans Amortized Cost Basis 3,568   3,568   1,613
Revolving Loans converted to term loans 1,509   1,509   1,265
Total loans, net of fees and costs excluding portfolio layer basis adjustments 188,002   188,002   149,181
Special Mention [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 8,400   8,400    
2024/2023         2,616
2023/2022         10,163
2021/2020 1,545   1,545   445
Prior 3,744   3,744   19,258
Revolving Loans converted to term loans 58   58   215
Total loans, net of fees and costs excluding portfolio layer basis adjustments 13,747   13,747   32,697
Substandard [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024         716
2024/2023 660   660   429
2023/2022 317   317   4,891
2022/2021 2,967   2,967   2,395
2021/2020 1   1   2,811
Prior 40,898   40,898   24,664
Revolving Loans Amortized Cost Basis 13,334   13,334   3,856
Revolving Loans converted to term loans 502   502   439
Total loans, net of fees and costs excluding portfolio layer basis adjustments 58,679   58,679   40,201
Doubtful [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2024/2023         462
Prior 1,708   1,708    
Revolving Loans Amortized Cost Basis         570
Total loans, net of fees and costs excluding portfolio layer basis adjustments 1,708   1,708   1,032
Multi-family Residential          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 54,086   54,086   116,814
2024/2023 115,867   115,867   248,004
2023/2022 228,642   228,642   392,834
2022/2021 408,677   408,677   273,451
2021/2020 267,921   267,921   201,074
Prior 1,369,774   1,369,774   1,294,067
Revolving Loans Amortized Cost Basis 3,219   3,219   5,369
Total loans, net of fees and costs excluding portfolio layer basis adjustments 2,448,186   2,448,186   2,531,613
Gross charge-offs          
2022/2021     1,681    
Prior     420    
Total 420   2,101    
Multi-family Residential | Pass [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 54,086   54,086   116,814
2024/2023 114,940   114,940   248,004
2023/2022 227,745   227,745   375,084
2022/2021 404,123   404,123   272,747
2021/2020 265,416   265,416   195,539
Prior 1,328,924   1,328,924   1,250,368
Revolving Loans Amortized Cost Basis 3,219   3,219   5,369
Total loans, net of fees and costs excluding portfolio layer basis adjustments 2,398,453   2,398,453   2,463,925
Multi-family Residential | Watch          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2024/2023 927   927    
2023/2022 897   897   7,587
2022/2021 3,742   3,742    
2021/2020 2,505   2,505   2,724
Prior 25,515   25,515   31,665
Total loans, net of fees and costs excluding portfolio layer basis adjustments 33,586   33,586   41,976
Multi-family Residential | Special Mention [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2023/2022         10,163
Prior 810   810   2,388
Total loans, net of fees and costs excluding portfolio layer basis adjustments 810   810   12,551
Multi-family Residential | Substandard [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2022/2021 812   812   704
2021/2020         2,811
Prior 14,525   14,525   9,646
Total loans, net of fees and costs excluding portfolio layer basis adjustments 15,337   15,337   13,161
Commercial          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 150,537   150,537   199,396
2024/2023 193,054   193,054   197,228
2023/2022 193,195   193,195   311,155
2022/2021 298,167   298,167   148,592
2021/2020 143,302   143,302   129,236
Prior 983,578   983,578   989,015
Total loans, net of fees and costs excluding portfolio layer basis adjustments 1,961,833   1,961,833   1,974,622
Gross charge-offs          
Prior     1,347   421
Total 1,275   1,347   421
Commercial | Pass [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 142,137   142,137   199,396
2024/2023 191,071   191,071   197,228
2023/2022 189,208   189,208   310,725
2022/2021 297,745   297,745   144,569
2021/2020 135,897   135,897   122,576
Prior 900,702   900,702   924,520
Total loans, net of fees and costs excluding portfolio layer basis adjustments 1,856,760   1,856,760   1,899,014
Commercial | Watch          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2024/2023 1,983   1,983    
2023/2022 3,987   3,987   430
2022/2021 422   422   4,023
2021/2020 7,405   7,405   6,660
Prior 60,865   60,865   58,119
Total loans, net of fees and costs excluding portfolio layer basis adjustments 74,662   74,662   69,232
Commercial | Special Mention [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 8,400   8,400    
Total loans, net of fees and costs excluding portfolio layer basis adjustments 8,400   8,400    
Commercial | Substandard [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
Prior 22,011   22,011   6,376
Total loans, net of fees and costs excluding portfolio layer basis adjustments 22,011   22,011   6,376
1-4 Family Mixed-Use Property          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 9,196   9,196   17,759
2024/2023 17,605   17,605   23,552
2023/2022 21,750   21,750   45,487
2022/2021 43,910   43,910   40,515
2021/2020 37,581   37,581   27,893
Prior 355,324   355,324   358,732
Total loans, net of fees and costs excluding portfolio layer basis adjustments 485,366   485,366   513,938
Gross charge-offs          
Prior     20    
Total 20   20    
1-4 Family Mixed-Use Property | Pass [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 9,196   9,196   17,759
2024/2023 17,605   17,605   23,552
2023/2022 21,750   21,750   45,487
2022/2021 43,910   43,910   40,515
2021/2020 37,581   37,581   27,448
Prior 347,762   347,762   352,004
Total loans, net of fees and costs excluding portfolio layer basis adjustments 477,804   477,804   506,765
1-4 Family Mixed-Use Property | Watch          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
Prior 6,030   6,030   5,338
Total loans, net of fees and costs excluding portfolio layer basis adjustments 6,030   6,030   5,338
1-4 Family Mixed-Use Property | Special Mention [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2021/2020         445
Prior 1,193   1,193   1,273
Total loans, net of fees and costs excluding portfolio layer basis adjustments 1,193   1,193   1,718
1-4 Family Mixed-Use Property | Substandard [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
Prior 339   339   117
Total loans, net of fees and costs excluding portfolio layer basis adjustments 339   339   117
1-4 Family Residential          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 2,022   2,022   2,136
2024/2023 17,055   17,055   53,556
2023/2022 111,596   111,596   22,878
2022/2021 54,740   54,740   7,371
2021/2020 5,776   5,776   16,039
Prior 130,260   130,260   125,737
Revolving Loans Amortized Cost Basis 5,327   5,327   6,369
Revolving Loans converted to term loans 9,729   9,729   10,507
Total loans, net of fees and costs excluding portfolio layer basis adjustments 336,505   336,505   244,593
Gross charge-offs          
Prior     5   14
Total     5 14 14
1-4 Family Residential | Pass [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 2,022   2,022   2,136
2024/2023 17,055   17,055   53,556
2023/2022 111,596   111,596   22,382
2022/2021 54,252   54,252   7,117
2021/2020 5,776   5,776   16,039
Prior 126,245   126,245   121,653
Revolving Loans Amortized Cost Basis 5,327   5,327   6,256
Revolving Loans converted to term loans 7,660   7,660   8,588
Total loans, net of fees and costs excluding portfolio layer basis adjustments 329,933   329,933   237,727
1-4 Family Residential | Watch          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2023/2022         496
2022/2021 488   488   254
Prior 2,062   2,062   2,769
Revolving Loans Amortized Cost Basis         113
Revolving Loans converted to term loans 1,509   1,509   1,265
Total loans, net of fees and costs excluding portfolio layer basis adjustments 4,059   4,059   4,897
1-4 Family Residential | Special Mention [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
Prior 1,706   1,706   838
Revolving Loans converted to term loans 58   58   215
Total loans, net of fees and costs excluding portfolio layer basis adjustments 1,764   1,764   1,053
1-4 Family Residential | Substandard [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
Prior 247   247   477
Revolving Loans converted to term loans 502   502   439
Total loans, net of fees and costs excluding portfolio layer basis adjustments 749   749   916
Construction          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 1,633   1,633    
2024/2023         2,667
2023/2022         2
2022/2021         18,215
2021/2020 18,250   18,250    
Revolving Loans Amortized Cost Basis 31,644   31,644   39,230
Total loans, net of fees and costs excluding portfolio layer basis adjustments 51,527   51,527   60,114
Construction | Pass [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 1,633   1,633    
2024/2023         51
2023/2022         2
2022/2021         18,215
Revolving Loans Amortized Cost Basis 31,644   31,644   39,230
Total loans, net of fees and costs excluding portfolio layer basis adjustments 33,277   33,277   57,498
Construction | Watch          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2021/2020 18,250   18,250    
Total loans, net of fees and costs excluding portfolio layer basis adjustments 18,250   18,250    
Construction | Special Mention [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2024/2023         2,616
Total loans, net of fees and costs excluding portfolio layer basis adjustments         2,616
Small Business Administration          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 1,331   1,331   7,356
2024/2023 1,641   1,641   1,906
2023/2022 1,136   1,136   3,211
2022/2021 3,154   3,154   2,783
2021/2020 932   932   1,672
Prior 3,362   3,362   3,267
Total loans, net of fees and costs excluding portfolio layer basis adjustments 11,556   11,556   20,195
Gross charge-offs          
Prior     279   7
Total 277 $ 7 279 $ 7 7
Small Business Administration | Pass [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 1,331   1,331   7,356
2024/2023 1,641   1,641   1,906
2023/2022 1,136   1,136   3,211
2022/2021 3,154   3,154   1,092
2021/2020 931   931   1,672
Prior 2,240   2,240   1,123
Total loans, net of fees and costs excluding portfolio layer basis adjustments 10,433   10,433   16,360
Small Business Administration | Watch          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
Prior 196   196   774
Total loans, net of fees and costs excluding portfolio layer basis adjustments 196   196   774
Small Business Administration | Special Mention [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
Prior 27   27   325
Total loans, net of fees and costs excluding portfolio layer basis adjustments 27   27   325
Small Business Administration | Substandard [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2022/2021         1,691
2021/2020 1   1    
Prior 899   899   1,045
Total loans, net of fees and costs excluding portfolio layer basis adjustments 900   900   2,736
Commercial Business          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 71,795   71,795   110,021
2024/2023 77,583   77,583   98,657
2023/2022 75,169   75,169   76,370
2022/2021 63,167   63,167   31,295
2021/2020 24,798   24,798   22,054
Prior 91,251   91,251   104,475
Revolving Loans Amortized Cost Basis 189,763   189,763   214,345
Total loans, net of fees and costs excluding portfolio layer basis adjustments 593,526   593,526   657,217
Gross charge-offs          
2023/2022     871    
2022/2021     2,621   4,121
Prior     1,952   266
Revolving Loans Amortized Cost Basis     95   3,083
Total     5,539   7,470
Commercial Business | Pass [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 71,720   71,720   109,139
2024/2023 73,875   73,875   92,916
2023/2022 74,852   74,852   71,479
2022/2021 61,012   61,012   29,665
2021/2020 20,797   20,797   17,744
Prior 82,540   82,540   99,620
Revolving Loans Amortized Cost Basis 172,861   172,861   208,419
Total loans, net of fees and costs excluding portfolio layer basis adjustments 557,657   557,657   628,982
Commercial Business | Watch          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 75   75   166
2024/2023 3,048   3,048   4,850
2022/2021         1,630
2021/2020 2,456   2,456   4,310
Prior 6,918   6,918   1,720
Revolving Loans Amortized Cost Basis 3,568   3,568   1,500
Total loans, net of fees and costs excluding portfolio layer basis adjustments 16,065   16,065   14,176
Commercial Business | Special Mention [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2021/2020 1,545   1,545    
Prior 8   8   16
Total loans, net of fees and costs excluding portfolio layer basis adjustments 1,553   1,553   16
Commercial Business | Substandard [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024         716
2024/2023 660   660   429
2023/2022 317   317   4,891
2022/2021 2,155   2,155    
Prior 77   77   3,119
Revolving Loans Amortized Cost Basis 13,334   13,334   3,856
Total loans, net of fees and costs excluding portfolio layer basis adjustments 16,543   16,543   13,011
Commercial Business | Doubtful [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2024/2023         462
Prior 1,708   1,708    
Revolving Loans Amortized Cost Basis         570
Total loans, net of fees and costs excluding portfolio layer basis adjustments 1,708   1,708   1,032
Commercial Business - Secured by RE          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 67,469   67,469   77,284
2024/2023 76,760   76,760   45,976
2023/2022 55,257   55,257   169,904
2022/2021 163,746   163,746   125,523
2021/2020 114,667   114,667   103,515
Prior 302,383   302,383   222,537
Revolving Loans Amortized Cost Basis         673
Total loans, net of fees and costs excluding portfolio layer basis adjustments 780,282   780,282   745,412
Commercial Business - Secured by RE | Pass [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024 67,469   67,469   68,613
2024/2023 68,182   68,182   45,976
2023/2022 55,257   55,257   169,904
2022/2021 163,746   163,746   125,523
2021/2020 106,252   106,252   99,794
Prior 281,422   281,422   203,839
Revolving Loans Amortized Cost Basis         673
Total loans, net of fees and costs excluding portfolio layer basis adjustments 742,328   742,328   714,322
Commercial Business - Secured by RE | Watch          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
2025/2024         8,671
2024/2023 8,578   8,578    
2021/2020 8,415   8,415   3,721
Prior 18,161   18,161   396
Total loans, net of fees and costs excluding portfolio layer basis adjustments 35,154   35,154   12,788
Commercial Business - Secured by RE | Special Mention [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
Prior         14,418
Total loans, net of fees and costs excluding portfolio layer basis adjustments         14,418
Commercial Business - Secured by RE | Substandard [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
Prior 2,800   2,800   3,884
Total loans, net of fees and costs excluding portfolio layer basis adjustments 2,800   2,800   3,884
Other          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
Prior 54   54   85
Revolving Loans Amortized Cost Basis 77   77   84
Total loans, net of fees and costs excluding portfolio layer basis adjustments 131   131   169
Gross charge-offs          
Prior     61   57
Total     61   57
Other | Pass [Member]          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
Prior 54   54   85
Revolving Loans Amortized Cost Basis 77   77   84
Total loans, net of fees and costs excluding portfolio layer basis adjustments 131   131   169
Consumer Portfolio Segment          
Accounts, Notes, Loans and Financing Receivable [Line Items]          
Mortgage loans in process of foreclosure, amount $ 1,300   $ 1,300   $ 2,700