v3.26.1
Borrowings (Tables)
12 Months Ended
Dec. 31, 2025
Debt Disclosure [Abstract]  
Summary of Short-term Borrowings
Short-term borrowings are summarized as follows:

(in thousands)December 31, 2025December 31, 2024
Federal Home Loan Bank advances$— $— 
Repurchase agreements7,119 7,009 
Line of credit— — 
Total short-term borrowings$7,119 $7,009 
Schedule of Short-term Borrowings
The following schedule provides certain information about First Guaranty's short-term borrowings for the periods indicated:

 December 31,
(in thousands except for %)20252024
Outstanding at year end$7,119 $7,009 
Maximum month-end outstanding$7,119 $66,982 
Average daily outstanding$7,108 $24,849 
Weighted average rate during the year4.84 %5.60 %
Weighted average rate at year end4.84 %5.56 %
Schedule of Obligations on Long-term Debt
The scheduled payments are as follows:

(in thousands)Long-term Advances from FHLBSenior
Long-term Debt
Junior
Subordinated Debentures
2026$— $— $— 
2027135,000 — — 
2028— 3,023 — 
2029— 4,031 — 
2030— 4,031 — 
2031 and thereafter— 3,181 30,000 
Subtotal$135,000 $14,266 $30,000 
Debt issuance costs— (63)(195)
Total$135,000 $14,203 $29,805