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Fair Values of Financial Instruments (Tables)
9 Months Ended
Sep. 30, 2025
Fair Values of Financial Instruments [Abstract]  
Schedule of Estimated Recorded Book Balances and Fair Values
The estimated recorded book balances and fair values follow:
Fair Value Using
Recorded
Book
Balance
Fair ValueQuoted
Prices
in Active
Markets
for
Identical
Assets
(Level 1)
Significant
Other
Observable
Inputs
(Level 2)
Significant
Un-
observable
Inputs
(Level 3)
(In thousands)
September 30, 2025
Assets
Cash and due from banks$56,378 $56,378 $56,378 $— $— 
Interest bearing deposits152,308 152,308 152,308 — — 
Securities available for sale502,583 502,583 — 502,583 — 
Securities held to maturity321,450 293,242 — 293,242 — 
Federal Home Loan Bank and Federal
Reserve Bank Stock18,102 NANANANA
Net loans and loans held for sale4,147,478 3,991,609 — 11,654 3,979,955 
Accrued interest receivable19,270 19,270 250 4,863 14,157 
Derivative financial instruments32,106 32,106 — 32,106 — 
     
Liabilities     
Deposits with no stated maturity (1)$3,911,405 $3,911,405 $3,911,405 $— $— 
Deposits with stated maturity (1)947,750 946,153 — 946,153 — 
Other borrowings2,006 1,673 — 1,673 — 
Subordinated debentures39,847 39,585 — 39,585 — 
Accrued interest payable3,245 3,245 323 2,922 — 
Derivative financial instruments20,729 20,729 — 20,729 — 
     
December 31, 2024     
Assets     
Cash and due from banks$56,984 $56,984 $56,984 $— $— 
Interest bearing deposits62,898 62,898 62,898 — — 
Securities available for sale559,182 559,182 — 559,182 — 
Securities held to maturity339,436 301,860 — 301,860 — 
Federal Home Loan Bank and Federal
Reserve Bank Stock16,099 NANANANA
Net loans and loans held for sale3,987,089 3,772,862 — 7,643 3,765,219 
Accrued interest receivable19,113 19,113 46 5,606 13,461 
Derivative financial instruments37,059 37,059 — 37,059 — 
Liabilities     
Deposits with no stated maturity (1)$3,806,185 $3,806,185 $3,806,185 $— $— 
Deposits with stated maturity (1)847,903 845,534 — 845,534 — 
Other borrowings45,009 44,996 — 44,996 — 
Subordinated debt39,586 40,412 — 40,412 — 
Subordinated debentures39,796 40,235 — 40,235 — 
Accrued interest payable3,109 3,109 374 2,735 — 
Derivative financial instruments18,623 18,623 — 18,623 — 
(1)
Deposits with no stated maturity include reciprocal deposits with a recorded book balance of $867.422 million and $797.224 million at September 30, 2025 and December 31, 2024, respectively. Deposits with a stated maturity include reciprocal deposits with a recorded book balance of $113.693 million and $109.807 million at September 30, 2025 and December 31, 2024, respectively.