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Securities & Allowance for Securities Credit Losses - Schedule of Amortized Cost and Fair Value (Details) - USD ($)
Jun. 30, 2025
Mar. 31, 2025
Dec. 31, 2024
Jun. 30, 2024
Mar. 31, 2024
Dec. 31, 2023
Securities available for sale:            
Amortized Cost $ 473,672,000   $ 365,323,000      
Gross Unrealized Gains 502,000   87,000      
Gross Unrealized (Losses) (4,882,000)   (7,081,000)      
Fair Value 469,292,000   358,329,000 [1]      
Allowance for Credit Losses 0   0 $ 0   $ 0
Securities held to maturity:            
Amortized Cost 289,349,000   300,653,000      
Gross Unrealized Gains 63,000   48,000      
Gross Unrealized (Losses) (15,346,000)   (21,750,000)      
Fair Value 274,066,000   278,951,000      
Allowance for Credit Losses (144,000) $ (175,000) (202,000) (248,000) $ (359,000) (348,000)
Total securities, Amortized Cost 763,021,000   665,976,000      
Total securities, Accumulated Unrecognized Gain 565,000   135,000      
Total securities, Accumulated Unrecognized Loss (20,228,000)   (28,831,000)      
Total securities, Fair Value 743,358,000   637,280,000      
Total securities, Allowance for Credit Losses (144,000)   (202,000)      
U.S. government and federal agencies            
Securities available for sale:            
Amortized Cost 317,522,000   207,935,000      
Gross Unrealized Gains 291,000   29,000      
Gross Unrealized (Losses) (1,160,000)   (1,561,000)      
Fair Value 316,653,000   206,403,000      
Allowance for Credit Losses 0   0 0   0
Securities held to maturity:            
Amortized Cost 117,457,000   122,452,000      
Gross Unrealized Gains 0   0      
Gross Unrealized (Losses) (6,368,000)   (9,181,000)      
Fair Value 111,089,000   113,271,000      
Allowance for Credit Losses 0 0 0 0 0 0
Mortgage backed securities            
Securities available for sale:            
Amortized Cost 6,814,000   7,976,000      
Gross Unrealized Gains 1,000   1,000      
Gross Unrealized (Losses) (447,000)   (582,000)      
Fair Value 6,368,000   7,395,000      
Allowance for Credit Losses 0   0      
Securities held to maturity:            
Amortized Cost 1,159,000   1,168,000      
Gross Unrealized Gains 0   0      
Gross Unrealized (Losses) (26,000)   (51,000)      
Fair Value 1,133,000   1,117,000      
Allowance for Credit Losses 0   0      
Corporate bonds            
Securities available for sale:            
Amortized Cost 49,467,000   44,707,000      
Gross Unrealized Gains 147,000   20,000      
Gross Unrealized (Losses) (344,000)   (753,000)      
Fair Value 49,270,000   43,974,000      
Allowance for Credit Losses 0   0 0   0
Securities held to maturity:            
Amortized Cost 52,856,000   57,470,000      
Gross Unrealized Gains 58,000   43,000      
Gross Unrealized (Losses) (946,000)   (1,698,000)      
Fair Value 51,968,000   55,815,000      
Allowance for Credit Losses (114,000) (145,000) (171,000) (215,000) (325,000) (322,000)
State and municipal securities            
Securities available for sale:            
Amortized Cost 99,869,000   104,705,000      
Gross Unrealized Gains 63,000   37,000      
Gross Unrealized (Losses) (2,931,000)   (4,185,000)      
Fair Value 97,001,000   100,557,000      
Allowance for Credit Losses 0   0 0   0
Securities held to maturity:            
Amortized Cost 117,877,000   119,563,000      
Gross Unrealized Gains 5,000   5,000      
Gross Unrealized (Losses) (8,006,000)   (10,820,000)      
Fair Value 109,876,000   108,748,000      
Allowance for Credit Losses $ (30,000) $ (30,000) $ (31,000) $ (33,000) $ (34,000) $ (26,000)
[1] Derived from audited consolidated financial statements.