v3.26.1
Fair Value Disclosures - Carrying amounts and estimated fair value of our financial instruments (Details) - Nonrecurring - USD ($)
$ in Thousands
Mar. 31, 2026
Dec. 31, 2025
Fair Value Disclosures    
Total assets $ 0 $ 0
Total liabilities 0 0
Carrying Amount | Deposits    
Fair Value Disclosures    
Total liabilities 1,626,277 1,616,901
Carrying Amount | Accrued interest payable    
Fair Value Disclosures    
Total liabilities 73 513
Carrying Amount | Borrowings    
Fair Value Disclosures    
Total liabilities 20,000 70,000
Carrying Amount | Cash and cash equivalents    
Fair Value Disclosures    
Total assets 76,211 81,175
Carrying Amount | Certificates of deposit    
Fair Value Disclosures    
Total assets 100 100
Carrying Amount | Marketable equity securities    
Fair Value Disclosures    
Total assets 27,449 26,570
Carrying Amount | Securities held to maturity    
Fair Value Disclosures    
Total assets 18,165 18,315
Carrying Amount | Loans receivable, net    
Fair Value Disclosures    
Total assets 1,823,790 1,855,603
Carrying Amount | Investments in restricted stock    
Fair Value Disclosures    
Total assets 410 410
Carrying Amount | Accrued interest receivable    
Fair Value Disclosures    
Total assets 12,076 12,228
Fair Value | Deposits    
Fair Value Disclosures    
Total liabilities 1,627,421 1,619,565
Fair Value | Accrued interest payable    
Fair Value Disclosures    
Total liabilities 73 513
Fair Value | Borrowings    
Fair Value Disclosures    
Total liabilities 20,000 70,000
Fair Value | Cash and cash equivalents    
Fair Value Disclosures    
Total assets 76,211 81,175
Fair Value | Certificates of deposit    
Fair Value Disclosures    
Total assets 100 100
Fair Value | Marketable equity securities    
Fair Value Disclosures    
Total assets 27,449 26,570
Fair Value | Securities held to maturity    
Fair Value Disclosures    
Total assets 15,365 15,527
Fair Value | Loans receivable, net    
Fair Value Disclosures    
Total assets 1,811,236 1,853,900
Fair Value | Investments in restricted stock    
Fair Value Disclosures    
Total assets 410 410
Fair Value | Accrued interest receivable    
Fair Value Disclosures    
Total assets 12,076 12,228
Fair Value | Level 1 | Borrowings    
Fair Value Disclosures    
Total liabilities 20,000 70,000
Fair Value | Level 1 | Cash and cash equivalents    
Fair Value Disclosures    
Total assets 76,211 81,175
Fair Value | Level 1 | Marketable equity securities    
Fair Value Disclosures    
Total assets 27,449 26,570
Fair Value | Level 2 | Deposits    
Fair Value Disclosures    
Total liabilities 1,627,421 1,619,565
Fair Value | Level 2 | Accrued interest payable    
Fair Value Disclosures    
Total liabilities 73 513
Fair Value | Level 2 | Certificates of deposit    
Fair Value Disclosures    
Total assets 100 100
Fair Value | Level 2 | Securities held to maturity    
Fair Value Disclosures    
Total assets 15,365 15,527
Fair Value | Level 2 | Investments in restricted stock    
Fair Value Disclosures    
Total assets 410 410
Fair Value | Level 2 | Accrued interest receivable    
Fair Value Disclosures    
Total assets 12,076 12,228
Fair Value | Level 3 | Loans receivable, net    
Fair Value Disclosures    
Total assets $ 1,811,236 $ 1,853,900