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Securities (Tables)
9 Months Ended
Sep. 30, 2025
Securities [Abstract]  
Summary Of Securities Held-To-Maturity And Securities Available-For-Sale

September 30, 2025

Amortized

Gross Unrealized

Costs

Gains

(Losses)

Fair Value

Held-to-Maturity

U.S. agency obligations

$               3,594

$ -

$                 (286)

$               3,308

Available-for-sale

U.S. agency obligations

$ 80,044

$ 475

$ (4,319)

$ 76,200

Mortgage-backed securities

65,558

69

(7,318)

58,309

Municipals

61,331

192

(8,378)

53,145

Corporates

15,501

2

(651)

14,852

$ 222,434

$                  738

$ (20,666)

$ 202,506

December 31, 2024

Amortized

Gross Unrealized

Costs

Gains

(Losses)

Fair Value

Held-to-Maturity

U.S. agency obligations

$               3,606

$ -

$                 (436)

$               3,170

Available-for-sale

U.S. agency obligations

$ 79,976

$ -

$ (6,916)

$ 73,060

Mortgage-backed securities

69,312

9

(10,348)

58,973

Municipals

52,123

-

(10,562)

41,561

Corporates

15,510

-

(1,188)

14,322

$ 216,921

$                      9

$ (29,014)

$ 187,916

Gross Unrealized Losses And Fair Value Of The Bank’s Investments

September 30, 2025

Less than 12 months

More than 12 months

Total

Fair

Unrealized

Fair

Unrealized

Fair

Unrealized

Value

Losses

Value

Losses

Value

Losses

Available-for-sale

U.S. agency obligations

$

2,047

$

47

$

49,495

$

4,272

$

51,542

$

4,319

Mortgage-backed securities

-

-

54,238

7,318

54,238

7,318

Municipals

560

3

41,788

8,375

42,348

8,378

Corporates

-

-

13,849

651

13,849

651

$

2,607

$

50

$

159,370

$

20,616

$

161,977

$

20,666

December 31, 2024

Less than 12 months

More than 12 months

Total

Fair

Unrealized

Fair

Unrealized

Fair

Unrealized

Value

Losses

Value

Losses

Value

Losses

Available-for-sale

U.S. agency obligations

$

11,455

$

324

$

61,606

$

6,592

$

73,060

$

6,916

Mortgage-backed securities

4,026

176

54,207

10,172

58,233

10,348

Municipals

1,847

31

39,714

10,531

41,561

10,562

Corporates

7,392

608

6,930

580

14,322

1,188

$

24,720

$

1,139

$

162,457

$

27,875

$

187,176

$

29,014

Contractual Maturities Of Investment Securities

Investment Portfolio in Maturities (in thousands)

September 30, 2025

Amortized

Costs

Fair Value

Held-to-maturity:

Due in one year or less

$ -

$ -

Due after one year through five years

399

387

Due after five years through ten years

2,018

1,896

Due after ten years

1,177

1,025

Total securities Held-to-maturity

$ 3,594

$ 3,308

Amortized

Costs

Fair Value

Available-for-sale:

Due in one year or less

$ 2,500

$ 2,485

Due after one year through five years

57,997

55,389

Due after five years through ten years

63,019

58,579

Due after ten years

98,918

86,053

Total securities Available-for-sale

$ 222,434

$ 202,506