v3.26.1
Debt Securities (Tables)
3 Months Ended
Mar. 31, 2026
Debt Securities  
Schedule of amortized cost and fair value of securities

March 31, 2026

Gross

Gross

Estimated

Amortized

Unrealized

Unrealized

Fair

Available for Sale

  ​ ​ ​

Cost

  ​ ​ ​

Gains

  ​ ​ ​

Losses

  ​ ​ ​

Value

Debt Securities:

 

  ​

 

  ​

 

  ​

 

  ​

Residential mortgage-backed

$

6,741

$

$

(740)

$

6,001

Collateralized mortgage obligations

 

37,337

 

 

(1,530)

 

35,807

State and municipal

 

9,736

 

 

(1,119)

 

8,617

Corporate bonds

 

10,524

 

47

 

(926)

 

9,645

Total securities available for sale

$

64,338

$

47

$

(4,315)

$

60,070

Held to Maturity

 

  ​

 

  ​

 

  ​

 

  ​

Debt Securities:

 

  ​

 

  ​

 

  ​

 

  ​

Residential mortgage-backed

$

15,453

$

$

(1,631)

$

13,822

State and municipal

1,200

(33)

1,167

U.S. Government and agency

 

868

 

2

 

 

870

Total securities held to maturity

$

17,521

$

2

$

(1,664)

$

15,859

December 31, 2025

Gross

Gross

Estimated

Amortized

Unrealized

Unrealized

Fair

Available for Sale

  ​ ​ ​

Cost

  ​ ​ ​

Gains

  ​ ​ ​

Losses

  ​ ​ ​

Value

Debt Securities:

 

  ​

 

  ​

 

  ​

 

  ​

Residential mortgage-backed

$

6,475

$

$

(679)

$

5,796

Collateralized mortgage obligations

 

37,023

 

12

 

(1,293)

 

35,742

State and municipal

 

9,753

 

 

(1,010)

 

8,743

Corporate bonds

 

10,519

 

49

 

(956)

 

9,612

Total securities available for sale

$

63,770

$

61

$

(3,938)

$

59,893

Held to Maturity

 

  ​

 

  ​

 

  ​

 

  ​

Debt Securities:

 

  ​

 

  ​

 

  ​

 

  ​

Residential mortgage-backed

$

16,112

$

$

(1,534)

$

14,578

State and municipal

 

1,200

 

 

(6)

 

1,194

U.S. Government and agency

971

1

972

Total securities held to maturity

$

18,283

$

1

$

(1,540)

$

16,744

Schedule of contractual maturities of debt securities

Available for Sale

Held to Maturity

Estimated

Estimated

Amortized

Fair

Amortized

Fair

  ​ ​ ​

Cost

  ​ ​ ​

Value

  ​ ​ ​

Cost

  ​ ​ ​

Value

Due in one year

$

$

$

$

Due from one to five years

 

1,145

 

1,046

 

135

 

128

Due in five to ten years

 

12,885

 

12,031

 

868

 

870

After ten years

 

6,230

 

5,185

 

1,065

 

1,039

Residential mortgage-backed

 

6,741

 

6,001

 

15,453

 

13,822

Collateralized mortgage obligations

 

37,337

 

35,807

 

 

Total

$

64,338

$

60,070

$

17,521

$

15,859

Schedule of securities with gross unrealized losses and fair value

March 31, 2026

Less than 12 months

12 months or longer

Gross

Gross

Fair

Unrealized

Fair

Unrealized

Category (number of securities)

  ​ ​ ​

Value

  ​ ​ ​

Losses

  ​ ​ ​

Value

  ​ ​ ​

Losses

Residential mortgage-backed (1, 73)

$

483

$

(18)

$

19,340

$

(2,353)

Collateralized mortgage obligations (8, 15)

 

11,595

 

(109)

 

24,212

 

(1,421)

State and municipal (1, 9)

 

1,039

 

(26)

 

8,745

 

(1,126)

Corporate bonds (1, 14)

 

499

 

(1)

 

6,575

 

(925)

Total

$

13,616

$

(154)

$

58,872

$

(5,825)

December 31, 2025

Less than 12 months

12 months or longer

Gross

Gross

Fair

Unrealized

Fair

Unrealized

Category (number of securities)

  ​ ​ ​

Value

  ​ ​ ​

Losses

  ​ ​ ​

Value

  ​ ​ ​

Losses

Residential mortgage-backed (0, 77)

$

$

$

20,374

$

(2,213)

Collateralized mortgage obligations (2, 15)

 

2,538

 

(18)

 

24,891

 

(1,275)

State and municipal (1, 9)

 

1,065

 

 

8,872

 

(1,016)

Corporate bonds (4, 13)

 

2,871

 

(29)

 

5,572

 

(927)

Total

$

6,474

$

(47)

$

59,709

$

(5,431)

Summary of held to maturity bond ratings

March 31, 2026

  ​ ​ ​ ​ ​

Residential
mortgage-backed

  ​ ​ ​ ​

State and
municipal

  ​ ​ ​ ​

U.S Government
and agency

AAA

$

15,453

$

1,065

$

868

Baa1

135

$

15,453

$

1,200

$

868

December 31, 2025

Residential
mortgage-backed

State and
municipal

U.S Government
and agency

AAA

$

16,112

$

1,066

$

971

Baa1

134

$

16,112

$

1,200

$

971