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Repurchase Agreements and Other Borrowings (Tables)
6 Months Ended
Jun. 30, 2025
Repurchase Agreements And Other Borrowings [Abstract]  
Schedule of Securities Financing Transactions

Collateral pledged by class for repurchase agreements are as follows (in thousands):

 

 

 

June 30, 2025

 

 

December 31, 2024

 

US Treasury securities and obligations of U.S. government corporations and agencies

 

$

64,198

 

 

$

70,664

 

Mortgage-backed securities: GSE: residential

 

 

129,743

 

 

 

133,458

 

Total

 

$

193,941

 

 

$

204,122

 

Federal Home Loan Bank, Advances

Gross FHLB borrowings, were $245.0 million and $242.4 million at June 30, 2025 and December 31, 2024, respectively. At June 30, 2025 the advances were as follows:

 

Advance

 

 

Term (in years)

 

Interest Rate

 

Maturity Date

 

25,000,000

 

 

overnight

 

4.45%

 

July 1, 2025

 

25,000,000

 

 

1.0

 

4.33%

 

November 17, 2025

 

25,000,000

 

 

3.0

 

4.40%

 

June 15, 2026

 

25,000,000

 

 

3.0

 

4.37%

 

May 10, 2027

 

25,000,000

 

 

3.0

 

4.32%

 

May 17, 2027

 

25,000,000

 

 

5.0

 

3.95%

 

June 29, 2028

 

25,000,000

 

 

5.0

 

3.93%

 

June 27, 2029

 

5,000,000

 

 

10.0

 

1.15%

 

October 3, 2029

 

5,000,000

 

 

10.0

 

1.12%

 

October 3, 2029

 

10,000,000

 

 

10.0

 

1.39%

 

December 31, 2029

 

25,000,000

 

 

5.0

 

3.46%

 

February 7, 2030

 

25,000,000

 

 

10.0

 

2.71%

 

March 5, 2035