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LOANS AND LEASES (Summary of Information Related to Modification) (Details) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Sep. 30, 2025
Sep. 30, 2024
Sep. 30, 2025
Sep. 30, 2024
Significant Payment Delay [Member]        
Amortized Cost Basis at Period End $ 405 $ 17,936 $ 57,883 $ 29,648
% of Total Class of Financing Receivable 0.06% 1.87% 3.31% 2.76%
Significant Payment Delay and Term Extension [Member]        
Amortized Cost Basis at Period End   $ 10,521 $ 416 $ 10,521
% of Total Class of Financing Receivable   0.81% 0.02% 0.81%
Interest Rate Reduction and Significant Payment Delay [Member]        
Amortized Cost Basis at Period End     $ 50,640  
% of Total Class of Financing Receivable     2.81%  
Interest Rate Reduction and Term Extension [Member]        
Amortized Cost Basis at Period End       $ 12,169
% of Total Class of Financing Receivable       0.93%
Interest Rate Reduction, Significant Payment Delay and Term Extension [Member]        
Amortized Cost Basis at Period End     $ 2,882  
% of Total Class of Financing Receivable     0.16%  
Residential Portfolio Segment [Member] | Significant Payment Delay [Member] | Primary Residential Mortgages [Member]        
Amortized Cost Basis at Period End $ 405 $ 542 $ 691  
% of Total Class of Financing Receivable 0.06% 0.09% 0.11%  
Residential Portfolio Segment [Member] | Significant Payment Delay [Member] | Multifamily Property [Member]        
Amortized Cost Basis at Period End     $ 46,749  
% of Total Class of Financing Receivable     2.60%  
Residential Portfolio Segment [Member] | Interest Rate Reduction and Significant Payment Delay [Member] | Multifamily Property [Member]        
Amortized Cost Basis at Period End     $ 50,561  
% of Total Class of Financing Receivable     2.81%  
Residential Portfolio Segment [Member] | Interest Rate Reduction, Significant Payment Delay and Term Extension [Member] | Multifamily Property [Member]        
Amortized Cost Basis at Period End     $ 2,882  
% of Total Class of Financing Receivable     0.16%  
Commercial Portfolio Segment [Member] | Significant Payment Delay [Member] | Commercial and Industrial [Member]        
Amortized Cost Basis at Period End   $ 68 $ 10,443 $ 11,780
% of Total Class of Financing Receivable   0.01% 0.60% 0.90%
Commercial Portfolio Segment [Member] | Significant Payment Delay [Member] | Primary Residential Mortgages [Member]        
Amortized Cost Basis at Period End       $ 542
% of Total Class of Financing Receivable       0.09%
Commercial Portfolio Segment [Member] | Significant Payment Delay [Member] | Investment Property [Member]        
Amortized Cost Basis at Period End   $ 17,326   $ 17,326
% of Total Class of Financing Receivable   1.77%   1.77%
Commercial Portfolio Segment [Member] | Significant Payment Delay and Term Extension [Member] | Commercial and Industrial [Member]        
Amortized Cost Basis at Period End   $ 10,521 $ 416 $ 10,521
% of Total Class of Financing Receivable   0.81% 0.02% 0.81%
Commercial Portfolio Segment [Member] | Interest Rate Reduction and Significant Payment Delay [Member] | Commercial and Industrial [Member]        
Amortized Cost Basis at Period End     $ 79  
% of Total Class of Financing Receivable     0.00%  
Commercial Portfolio Segment [Member] | Interest Rate Reduction and Term Extension [Member] | Commercial and Industrial [Member]        
Amortized Cost Basis at Period End       $ 12,169
% of Total Class of Financing Receivable       0.93%