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Investment Securities (Tables)
3 Months Ended
Mar. 31, 2026
Investments, Debt and Equity Securities [Abstract]  
Summary of Available-for-Sale Securities Reconciliation
The following tables provide information on the amortized cost and estimated fair values of investment securities as of March 31, 2026 and December 31, 2025.
($ in thousands)Amortized CostGross Unrealized GainsGross Unrealized LossesEstimated Fair Value
Available for sale securities(1):
March 31, 2026
U.S. Treasury and government agency securities$22,092 $ $1,728 $20,364 
Mortgage-backed securities236,638 195 6,157 230,676 
Other debt securities(2)
12,546 440  12,986 
Total$271,276 $635 $7,885 $264,026 
December 31, 2025
U.S. Treasury and government agency securities$22,303 $$1,689 $20,616 
Mortgage-backed securities200,105 331 5,409 195,027 
Other debt securities(2)
4,269 446 — 4,715 
Total$226,677 $779 $7,098 $220,358 
____________________________________
(1)No available for sale (“AFS”) securities were sold during the three months ended March 31, 2026 and 2025.
(2)Other debt securities includes corporate and municipal bond obligations of state and political entities.
Summary of Held-to-Maturity Securities Reconciliation
($ in thousands)Amortized CostGross Unrealized GainsGross Unrealized LossesEstimated Fair ValueAllowance for Credit Losses
Held to maturity securities:
March 31, 2026
U.S. Treasury and government agency securities$92,514 $ $4,503 $88,011 $ 
Mortgage-backed securities294,223 123 32,526 261,820  
Other debt securities(1)
6,959 19 419 6,559 81 
Total$393,696 $142 $37,448 $356,390 $81 
December 31, 2025
U.S. Treasury and government agency securities$104,836 $$4,513 $100,325 $— 
Mortgage-backed securities303,129 255 32,167 271,217 — 
Other debt securities(1)
6,961 33 420 6,574 99 
Total$414,926 $290 $37,100 $378,116 $99 
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(1)Other debt securities includes corporate and municipal bond obligations of state and political entities.
Summary of Activity in Allowance for Credit Losses on Held to Maturity Securities
The following table summarizes the activity in the allowance for credit losses (“ACL”) on held to maturity (“HTM”) securities for the periods presented.
Three Months Ended
($ in thousands)March 31, 2026March 31, 2025
Balance, beginning of period$99 $203 
Reversal of credit losses, other debt securities(18)(25)
Balance, end of period$81 $178 
Summary of Available-For-Sale Securities, Continuous Unrealized Loss Position, Fair Value
The following tables provide information about gross unrealized losses and fair value by length of time that the individual securities have been in a continuous unrealized loss position as of March 31, 2026 and December 31, 2025.
Less than 12 MonthsMore than 12 MonthsTotal
($ in thousands)Fair ValueUnrealized LossesFair ValueUnrealized LossesFair ValueUnrealized Losses
March 31, 2026
Available for sale securities:
U.S. Treasury and government agency securities$14 $ $17,808 $1,728 $17,822 $1,728 
Mortgage-backed securities127,521 1,173 63,314 4,984 190,835 6,157 
Total$127,535 $1,173 $81,122 $6,712 $208,657 $7,885 
Less than 12 MonthsMore than 12 MonthsTotal
($ in thousands)Fair ValueUnrealized LossesFair ValueUnrealized LossesFair ValueUnrealized Losses
December 31, 2025
Available for sale securities:
U.S. Treasury and government agency securities$— $— $18,027 $1,689 $18,027 $1,689 
Mortgage-backed securities102,954 531 47,656 4,878 150,610 5,409 
Total$102,954 $531 $65,683 $6,567 $168,637 $7,098 
Summary of Securities Debt Maturities
The following table provides information on the amortized cost and estimated fair values of investment securities by contractual maturity date at March 31, 2026.
Available for SaleHeld to Maturity
($ in thousands)Amortized CostFair ValueAmortized CostFair Value
Due in one year or less$2,484 $2,484 $23,801 $23,650 
Due after one year through five years21,130 19,557 60,173 57,447 
Due after five years through ten years10,942 11,227 10,457 8,926 
Due after ten years82 82 5,042 4,547 
Total non-mortgage-backed securities$34,638 $33,350 $99,473 $94,570 
Mortgage-backed securities236,638 230,676 294,223 261,820 
Total$271,276 $264,026 $393,696 $356,390 
Summary of Investment Securities Pledged as Collateral
The following table sets forth the amortized cost and estimated fair values of securities that have been pledged as collateral for obligations to federal, state and local government agencies, and other purposes as required or permitted by law, or sold under agreements to repurchase at March 31, 2026 and December 31, 2025.
March 31, 2026December 31, 2025
($ in thousands)Amortized CostFair ValueAmortized CostFair Value
Pledged available for sale securities$74,643 $71,914 $75,123 $69,369 
Pledged held to maturity securities220,597 198,537 218,556 197,146