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Securities (Tables)
9 Months Ended
Sep. 30, 2025
Securities [Abstract]  
Summary of Disaggregated Net Income (loss) on Equity Securities

For the three months ended September 30,

For the nine months ended September 30,

(In Thousands)

2025

2024

2023

2025

2024

2023

Net gains (losses) recognized during the period on equity securities held at the reporting date

$

350

$

1,132

$

(436)

$

127

$

1,040

$

(4,157)

Net losses recognized during the period on equity securities sold during the period

-

-

(58)

-

-

(233)

Realized and unrealized gains (losses) on equity investments during the reporting period

$

350

$

1,132

$

(494)

$

127

$

1,040

$

(4,390)

Amortized Cost and Gross Unrealized Gains and Losses on Securities Available for Sale

September 30, 2025

  

Gross

  

Gross

  

Amortized

Unrealized

Unrealized

Cost

Gains

Losses

Fair Value

(In Thousands)

Residential Mortgage-backed securities:

  

  

  

More than one to five years

$

148

$

-

$

1

$

147

More than five to ten years

2,619

  

-

  

101

  

2,518

More than ten years

68,706

632

2,678

66,660

Sub-total:

71,473

632

2,780

69,325

Corporate Debt securities:

More than one to five years

17,290

108

174

17,224

More than five to ten years

30,774

184

1,814

29,144

Sub-total:

48,064

292

1,988

46,368

Total securities

$

119,537

  

$

924

  

$

4,768

  

$

115,693

December 31, 2024

  

Gross

  

Gross

  

Amortized

Unrealized

Unrealized

Cost

Gains

Losses

Fair Value

(In Thousands)

Residential Mortgage-backed securities:

  

  

  

More than one to five years

$

1,286 

$

-

$

57 

$

1,229 

More than five to ten years

2,395 

-

135 

2,260 

More than ten years

45,345 

188 

3,508 

42,025 

Sub-total:

49,026 

188 

3,700 

45,514 

Corporate Debt securities:

More than one to five years

37,488 

-

1,081 

36,407 

More than five to ten years

22,076 

-

2,280 

19,796 

Sub-total:

59,564 

-

3,361 

56,203 

Total securities

$

108,590 

$

188 

$

7,061 

$

101,717 

Available for Sale Securities, Continuous Unrealized Loss Position, Fair Value

12 Months or Less

  

More than 12 Months

  

Total

Fair

  

Unrealized

  

Fair

  

Unrealized

  

Fair

  

Unrealized

Value

Losses

Value

Losses

Value

Losses

(In Thousands)

September 30, 2025

  

  

  

  

  

Residential mortgage-backed securities

$

3,323

  

$

1

  

$

27,760

  

$

2,779

  

$

31,083

  

$

2,780

Corporate Debt securities

-

-

30,273

1,988

30,273

1,988

$

3,323

  

$

1

  

$

58,033

  

$

4,767

  

$

61,356

  

$

4,768

December 31, 2024

  

  

  

  

  

Residential mortgage-backed securities

$

10,558

  

$

127

  

$

24,673

  

$

3,573

  

$

35,231

  

$

3,700

Corporate Debt securities

2,985

19

51,918

3,342

54,903

3,361

$

13,543

  

$

146

  

$

76,591

  

$

6,915

  

$

90,134

  

$

7,061