v3.25.4
The following tables summarize the gross unrealized losses and fair value of the Company's securities available-for-sale and held-to-maturity, segregated by the duration of their continuous unrealized loss positions at December 31, 2025 and 2024 (Details)
$ in Thousands
Dec. 31, 2025
USD ($)
N
Dec. 31, 2024
USD ($)
N
Marketable Securities [Line Items]    
Available-for-sale, less than 12 months, number of securities | N 2 12
Available-for-sale, less than 12 months, fair value $ 3,481 $ 37,597
Available-for-sale, less than 12 months, gross unrealized loss $ 13 $ 603
Available-for-sale, over 12 months, number of securities | N 89 84
Available-for-sale, over 12 months, fair value $ 125,032 $ 120,985
Available-for-sale, over 12 months, gross unrealized loss $ 23,342 $ 30,633
Held-to-maturity, over 12 months, number of securities | N 5
Held-to-maturity, over 12 months, fair value $ 10,248
Held-to-maturity, over 12 months, gross unrealized loss $ 130
Held-to-maturity, over 12 months, number of securities | N 37 38
Held-to-maturity, over 12 months, fair value $ 146,454 $ 153,719
Held-to-maturity, over 12 months, gross unrealized loss $ 30,517 $ 39,313
Total, less than 12 months, number of securities | N 2 17
Total, less than 12 months, fair value $ 3,481 $ 47,845
Total, less than 12 months, gross unrealized loss $ 13 $ 733
Total, over 12 months, number of securities | N 126 122
Total, over 12 months, fair value $ 271,486 $ 274,704
Total, over 12 months, gross unrealized loss $ 53,859 $ 69,946
Government-sponsored mortgage-backed securities [Member]    
Marketable Securities [Line Items]    
Available-for-sale, less than 12 months, number of securities | N 1 9
Available-for-sale, less than 12 months, fair value $ 1,819 $ 33,145
Available-for-sale, less than 12 months, gross unrealized loss $ 7 $ 584
Available-for-sale, less than 12 months, depreciation from amortized cost basis (%) 0.40% 1.70%
Available-for-sale, over 12 months, number of securities | N 73 70
Available-for-sale, over 12 months, fair value $ 100,750 $ 99,529
Available-for-sale, over 12 months, gross unrealized loss $ 19,929 $ 25,951
Available-for-sale, over 12 months, depreciation from amortized cost basis (%) 16.50% 20.70%
Held-to-maturity, over 12 months, number of securities | N 4
Held-to-maturity, over 12 months, fair value $ 9,187
Held-to-maturity, over 12 months, gross unrealized loss $ 127
Held-to-maturity, less than 12 months, depreciation from amortized cost basis (%) 1.40%
Held-to-maturity, over 12 months, number of securities | N 36 37
Held-to-maturity, over 12 months, fair value $ 141,556 $ 148,992
Held-to-maturity, over 12 months, gross unrealized loss $ 30,414 $ 39,038
Held-to-maturity, over 12 months, depreciation from amortized cost basis (%) 17.70% 20.80%
U.S. government guaranteed mortgage-backed securities [Member]    
Marketable Securities [Line Items]    
Available-for-sale, less than 12 months, number of securities | N
Available-for-sale, less than 12 months, fair value
Available-for-sale, less than 12 months, gross unrealized loss
Available-for-sale, less than 12 months, depreciation from amortized cost basis (%)
Available-for-sale, over 12 months, number of securities | N 9 9
Available-for-sale, over 12 months, fair value $ 4,658 $ 4,858
Available-for-sale, over 12 months, gross unrealized loss $ 1,109 $ 1,345
Available-for-sale, over 12 months, depreciation from amortized cost basis (%) 19.20% 21.70%
Government-sponsored enterprise obligations [Member]    
Marketable Securities [Line Items]    
Available-for-sale, less than 12 months, number of securities | N 1 3
Available-for-sale, less than 12 months, fair value $ 1,662 $ 4,452
Available-for-sale, less than 12 months, gross unrealized loss $ 6 $ 19
Available-for-sale, less than 12 months, depreciation from amortized cost basis (%) 0.40% 0.40%
Available-for-sale, over 12 months, number of securities | N 5 3
Available-for-sale, over 12 months, fair value $ 14,831 $ 11,988
Available-for-sale, over 12 months, gross unrealized loss $ 2,097 $ 2,947
Available-for-sale, over 12 months, depreciation from amortized cost basis (%) 12.40% 19.70%
Corporate Bonds [Member]    
Marketable Securities [Line Items]    
Available-for-sale, less than 12 months, number of securities | N
Available-for-sale, less than 12 months, fair value
Available-for-sale, less than 12 months, gross unrealized loss
Available-for-sale, less than 12 months, depreciation from amortized cost basis (%)
Available-for-sale, over 12 months, number of securities | N 2 2
Available-for-sale, over 12 months, fair value $ 4,793 $ 4,610
Available-for-sale, over 12 months, gross unrealized loss $ 207 $ 390
Available-for-sale, over 12 months, depreciation from amortized cost basis (%) 4.10% 7.80%
US Treasury Securities [Member]    
Marketable Securities [Line Items]    
Held-to-maturity, over 12 months, number of securities | N  
Held-to-maturity, over 12 months, fair value  
Held-to-maturity, over 12 months, gross unrealized loss  
Held-to-maturity, less than 12 months, depreciation from amortized cost basis (%)  
Held-to-maturity, over 12 months, number of securities | N 1 1
Held-to-maturity, over 12 months, fair value $ 4,898 $ 4,727
Held-to-maturity, over 12 months, gross unrealized loss $ 103 $ 275
Held-to-maturity, over 12 months, depreciation from amortized cost basis (%) 2.10% 5.50%
U.S. Government Guaranteed Obligations [Member]    
Marketable Securities [Line Items]    
Held-to-maturity, over 12 months, number of securities | N   1
Held-to-maturity, over 12 months, fair value   $ 1,061
Held-to-maturity, over 12 months, gross unrealized loss   $ 3
Held-to-maturity, less than 12 months, depreciation from amortized cost basis (%)   0.30%