v3.26.1
Investment Securities - Schedule of Fair Value and Related Unrealized Losses of Temporarily Impaired Investment Securities, Aggregated by Investment Category (Details) - USD ($)
$ in Thousands
Mar. 31, 2026
Dec. 31, 2025
Debt Securities, Held-to-maturity, Unrealized Loss Position, Accumulated Loss    
Less than 12 months - fair value $ 75,077 $ 50,496
Less than 12 months - unrealized loss $ (698) $ (346)
Less than 12 months - percent decline from amortized cost 0.92% 0.68%
12 months or more - fair value $ 60,829 $ 61,803
12 months or more - unrealized loss $ (2,041) $ (2,147)
12 months or more - percent decline from amortized cost 3.25% 3.36%
Fair value - total $ 135,906 $ 112,299
Unrealized loss - total $ (2,739) $ (2,493)
Percent decline from amortized cost - total 1.98% 2.17%
U.S. Government and agency obligations    
Debt Securities, Held-to-maturity, Unrealized Loss Position, Accumulated Loss    
Less than 12 months - fair value $ 75,077 $ 50,496
Less than 12 months - unrealized loss $ (698) $ (346)
Less than 12 months - percent decline from amortized cost 0.92% 0.68%
12 months or more - fair value $ 53,314 $ 54,320
12 months or more - unrealized loss $ (1,556) $ (1,630)
12 months or more - percent decline from amortized cost 2.84% 2.91%
Fair value - total $ 128,391 $ 104,816
Unrealized loss - total $ (2,254) $ (1,976)
Percent decline from amortized cost - total 3.76% 1.85%
Corporate bonds    
Debt Securities, Held-to-maturity, Unrealized Loss Position, Accumulated Loss    
Less than 12 months - fair value $ 0 $ 0
Less than 12 months - unrealized loss $ 0 $ 0
Less than 12 months - percent decline from amortized cost 0.00% 0.00%
12 months or more - fair value $ 7,515 $ 7,483
12 months or more - unrealized loss $ (485) $ (517)
12 months or more - percent decline from amortized cost 6.07% 6.47%
Fair value - total $ 7,515 $ 7,483
Unrealized loss - total $ (485) $ (517)
Percent decline from amortized cost - total 6.07% 6.47%