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SECURITIES (Tables)
6 Months Ended
Jun. 30, 2025
Investments, Debt and Equity Securities [Abstract]  
Schedule of Securities Available for Sale
Debt securities available-for-sale ("AFS") at June 30, 2025 and December 31, 2024 were as follows:
 June 30, 2025
 AmortizedUnrealizedAllowance ForFair
 CostGainsLossesCredit LossesValue
U.S. Government sponsored entities$3,185 $— $(1)$— $3,184 
State & political subdivisions101,866 26 (10,680)— 91,212 
Residential & multi-family mortgage411,867 2,251 (27,514)— 386,604 
Corporate notes & bonds37,034 86 (2,890)— 34,230 
Pooled SBA8,459 (492)— 7,968 
Total$562,411 $2,364 $(41,577)$— $523,198 

 December 31, 2024
 AmortizedUnrealizedAllowance ForFair
 CostGainsLossesCredit LossesValue
U.S. Government sponsored entities$14,795 $17 $(2)$— $14,810 
State & political subdivisions104,025 11 (13,080)— 90,956 
Residential & multi-family mortgage352,983 60 (34,133)— 318,910 
Corporate notes & bonds39,022 — (3,812)— 35,210 
Pooled SBA9,398 — (738)— 8,660 
Total$520,223 $88 $(51,765)$— $468,546 
Schedule of Debt Securities Held-to-maturities
Debt securities held-to-maturity ("HTM") at June 30, 2025 and December 31, 2024 were as follows:
 June 30, 2025
 AmortizedUnrealizedAllowance ForFair
CostGainsLossesCredit LossesValue
U.S. Government sponsored entities$200,967 $— $(8,812)$— $192,155 
Residential & multi-family mortgage69,065 — (7,613)— 61,452 
Total$270,032 $— $(16,425)$— $253,607 
 December 31, 2024
 AmortizedUnrealizedAllowance ForFair
 CostGainsLossesCredit LossesValue
U.S. Government sponsored entities$229,504 $— $(13,354)$— $216,150 
Residential & multi-family mortgage76,577 — (9,757)— 66,820 
Total$306,081 $— $(23,111)$— $282,970 
HTM debt securities with unrealized losses at June 30, 2025 and December 31, 2024, aggregated by investment category and length of time that individual securities have been in a continuous unrealized loss position, were as follows:

June 30, 2025
 Less than 12 Months12 Months or MoreTotal
Description of SecuritiesFair
Value
Unrealized
Loss
Fair
Value
Unrealized
Loss
Fair
Value
Unrealized
Loss
U.S. Government sponsored entities$— $— $192,156 $(8,812)$192,156 $(8,812)
Residential & multi-family mortgage— — 61,451 (7,613)61,451 (7,613)
$— $— $253,607 $(16,425)$253,607 $(16,425)

December 31, 2024
 Less than 12 Months12 Months or MoreTotal
 Fair
Value
Unrealized
Loss
Fair
Value
Unrealized
Loss
Fair
Value
Unrealized
Loss
U.S. Government sponsored entities$— $— $216,150 $(13,354)$216,150 $(13,354)
Residential & multi-family mortgage— — 66,820 (9,757)66,820 (9,757)
$— $— $282,970 $(23,111)$282,970 $(23,111)
Schedule of Maturity Distribution of Debt Securities at Amortized Cost and Fair Value
The table below illustrates the maturity distribution of debt securities at amortized cost and fair value as of June 30, 2025:
Available-for-saleHeld-to-maturity
Amortized
Cost
Fair
Value
Amortized
Cost
Fair
Value
1 year or less$10,274 $10,249 $53,438 $52,721 
1 year – 5 years57,750 54,568 133,639 127,274 
5 years – 10 years53,707 48,478 13,890 12,161 
After 10 years20,354 15,331 — — 
142,085 128,626 200,967 192,156 
Residential & multi-family mortgage411,867 386,604 69,065 61,451 
Pooled SBA8,459 7,968 — — 
Total debt securities$562,411 $523,198 $270,032 $253,607 
Schedule of Available-for-sale Securities with Unrealized Loss Position
AFS debt securities with unrealized losses at June 30, 2025 and December 31, 2024, aggregated by investment category and length of time that individual securities have been in a continuous unrealized loss position, were as follows:

June 30, 2025
 Less than 12 Months12 Months or MoreTotal
Description of SecuritiesFair
Value
Unrealized
Loss
Fair
Value
Unrealized
Loss
Fair
Value
Unrealized
Loss
U.S. Government sponsored entities$3,184 $(1)$— $— $3,184 $(1)
State & political subdivisions3,474 (31)78,965 (10,649)82,439 (10,680)
Residential & multi-family mortgage20,560 (151)156,970 (27,363)177,530 (27,514)
Corporate notes and bonds1,497 (3)28,207 (2,887)29,704 (2,890)
Pooled SBA60 — 7,558 (492)7,618 (492)
$28,775 $(186)$271,700 $(41,391)$300,475 $(41,577)
December 31, 2024
 Less than 12 Months12 Months or MoreTotal
 Fair
Value
Unrealized
Loss
Fair
Value
Unrealized
Loss
Fair
Value
Unrealized
Loss
U.S. Government sponsored entities$249 $(1)$3,340 $(1)$3,589 $(2)
State & political subdivisions6,519 (90)80,172 (12,990)86,691 (13,080)
Residential & multi-family mortgage118,057 (810)159,576 (33,323)277,633 (34,133)
Corporate notes and bonds987 (13)34,224 (3,799)35,211 (3,812)
Pooled SBA410 (2)8,250 (736)8,660 (738)
$126,222 $(916)$285,562 $(50,849)$411,784 $(51,765)
Schedule of Trading Securities
Equity securities at June 30, 2025 and December 31, 2024 were as follows:
June 30, 2025December 31, 2024
Corporate equity securities$5,604 $6,542 
Mutual funds3,536 1,936 
Money market funds182287 
Corporate notes1,615 1,691 
Total$10,937 $10,456