v3.25.4
DEPOSITS (Tables)
12 Months Ended
Dec. 31, 2025
Deposits [Abstract]  
Summary of Interest Expense on Deposits
A summary of interest expense on deposits for the years ended December 31 follows:
202520242023
(In thousands)
Savings and interest-bearing checking$25,870 $28,047 $24,601 
Reciprocal29,386 34,574 23,429 
Time22,741 24,135 13,766 
Brokered time5,501 5,938 13,279 
Total$83,498 $92,694 $75,075 
Summary of Maturity of Time Deposits
A summary of the maturity of time deposits at December 31, 2025, follows (1):
(In thousands)
2026$770,122 
202717,873 
20282,423 
20292,050 
20301,256 
2031 and thereafter17 
Total$793,741 
(1)Includes time deposits, brokered time deposits and reciprocal time deposits
Summary of Reciprocal Deposits
A summary of reciprocal deposits at December 31 follows:
20252024
(In thousands)
Demand$862,697 $797,181 
Money market— 43 
Time112,224 109,807 
Total$974,921 $907,031