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Deposits (Tables)
12 Months Ended
Dec. 31, 2025
Deposits [Abstract]  
Schedule of Deposit Liabilities
Deposits consisted of the following as of December 31, 2025 and 2024:
(Dollars in thousands)December 31, 2025% of Total DepositsDecember 31, 2024% of Total Deposits
Noninterest-bearing demand deposits$834,013 16.0 %$759,169 16.2 %
Interest-bearing demand deposits1,278,940 24.5 %1,101,444 23.5 %
Money market1,226,171 23.5 %968,398 20.6 %
Savings324,064 6.2 %260,258 5.5 %
Total demand and savings 3,663,188 70.2 %3,089,269 65.9 %
Time1,551,475 29.8 %1,600,658 34.1 %
Total deposits$5,214,663 100.0 %$4,689,927 100.0 %
Schedule of Time Deposits By Maturity Date
The scheduled maturities of time deposits as of December 31, 2025 were as follows:
Time Deposits
(In thousands)Less than $250,000$250,000 or more
Maturing in 2026$1,026,518 $362,344 
Maturing in 2027107,392 10,203 
Maturing in 202824,792 3,608 
Maturing in 20298,465 260 
Maturing in 20305,812 682 
Maturing thereafter3,654 867 
$1,176,633 $377,964