v3.26.1
Securities (Tables)
3 Months Ended
Mar. 31, 2026
Investments, Debt and Equity Securities [Abstract]  
Schedule of Amortized Cost, Allowance For Credit Losses and Fair Value of Securities
The following tables present the amortized cost, allowance for credit losses, and fair value of securities at the dates indicated:
March 31, 2026
(dollars in thousands)Amortized costGross unrealized gainsGross unrealized lossesAllowance for credit lossesFair value# of Securities in unrealized loss position
Securities available-for-sale:
U.S. asset backed securities$25,486 $34 $(159)$— $25,361 14 
U.S. government agency MBS22,045 100 (329)— 21,816 
U.S. government agency CMO70,862 232 (1,852)— 69,242 46 
State and municipal securities43,092 98 (3,554)— 39,636 32 
U.S. Treasuries17,039 — (846)— 16,193 16 
Non-U.S. government agency CMO7,894 18 (225)— 7,687 
Corporate bonds16,001 325 (249)— 16,077 10 
Total securities available-for-sale$202,419 $807 $(7,214)$— $196,012 135 
Amortized costGross unrecognized gainsGross unrecognized lossesAllowance for credit lossesFair value# of Securities in unrecognized loss position
Securities held to maturity:
State and municipal securities$32,494 $$(2,586)$— $29,914 19 
Total securities held-to-maturity$32,494 $$(2,586)$— $29,914 19 


December 31, 2025
(dollars in thousands)Amortized costGross unrealized gainsGross unrealized lossesAllowance for credit lossesFair value# of Securities in unrealized loss position
Securities available-for-sale:
U.S. asset backed securities$26,385 $51 $(219)$— $26,217 13 
U.S. government agency MBS22,396 223 (268)— 22,351 
U.S. government agency CMO67,216 441 (1,526)— 66,131 38 
State and municipal securities43,282 151 (3,401)— 40,032 31 
U.S. Treasuries17,039 — (833)— 16,206 16 
Non-U.S. government agency CMO8,786 27 (207)— 8,606 
Corporate bonds14,023 266 (375)— 13,914 11 
Total securities available-for-sale$199,127 $1,159 $(6,829)$— $193,457 124 
(dollars in thousands)Amortized costGross unrecognized gainsGross unrecognized lossesAllowance for credit lossesFair value# of Securities in unrecognized loss position
Securities held to maturity:
State and municipal securities$32,544 $22 $(2,414)$— $30,152 19 
Total securities held-to-maturity$32,544 $22 $(2,414)$— $30,152 19 
Schedule of Unrealized Gain (Loss) on Investments
The following table shows the Corporation’s investment gross unrealized losses and fair value aggregated by investment category and length of time that individual securities have been in continuous unrealized loss position at the dates indicated:
March 31, 2026
Less than 12 Months12 Months or moreTotal
(dollars in thousands)Fair
value
Unrealized lossesFair
value
Unrealized lossesFair
value
Unrealized losses
Securities available-for-sale:
U.S. asset backed securities$8,816 $(36)$9,496 $(123)$18,312 $(159)
U.S. government agency MBS9,739 (111)2,518 (218)12,257 (329)
U.S. government agency CMO34,459 (501)15,914 (1,351)50,373 (1,852)
State and municipal securities1,193 (3)34,874 (3,551)36,067 (3,554)
U.S. Treasuries— — 16,193 (846)16,193 (846)
Non-U.S. government agency CMO589 (3)4,411 (222)5,000 (225)
Corporate bonds2,989 (11)3,962 (238)6,951 (249)
Total securities available-for-sale$57,785 $(665)$87,368 $(6,549)$145,153 $(7,214)
Less than 12 Months12 Months or moreTotal
(dollars in thousands)Fair
value
Unrecognized
losses
Fair
value
Unrecognized
losses
Fair
value
Unrecognized
losses
Securities held-to-maturity:
State and municipal securities$2,084 $(42)$25,607 $(2,544)$27,691 $(2,586)
Total securities held-to-maturity$2,084 $(42)$25,607 $(2,544)$27,691 $(2,586)
December 31, 2025
Less than 12 Months12 Months or moreTotal
(dollars in thousands)Fair valueUnrealized lossesFair valueUnrealized lossesFair valueUnrealized losses
Securities available-for-sale:
U.S. asset backed securities$6,504 $(39)$11,285 $(180)$17,789 $(219)
U.S. government agency MBS3,881 (38)3,945 (230)7,826 (268)
U.S. government agency CMO20,511 (178)17,074 (1,348)37,585 (1,526)
State and municipal securities— — 35,212 (3,401)35,212 (3,401)
U.S. Treasuries— — 16,206 (833)16,206 (833)
Non-U.S. government agency CMO456 — 5,235 (207)5,691 (207)
Corporate bonds1,476 (26)4,879 (349)6,355 (375)
Total securities available-for-sale$32,828 $(281)$93,836 $(6,548)$126,664 $(6,829)
Less than 12 Months12 Months or moreTotal
(dollars in thousands)Fair
value
Unrecognized
losses
Fair
value
Unrecognized
losses
Fair
value
Unrecognized
losses
Securities held-to-maturity:
State and municipal securities$2,087 $(69)$25,842 $(2,345)$27,929 $(2,414)
Total securities held-to-maturity$2,087 $(69)$25,842 $(2,345)$27,929 $(2,414)
Schedule of Amortized Cost and Carrying Value of Held-to-Maturity Securities and Available-for-Sale Securities by Contractual Maturity
The amortized cost and carrying value of securities are shown below by contractual maturities at the dates indicated. Actual maturities may differ from contractual maturities as issuers may have the right to call or repay obligations with or without call or prepayment penalties.
March 31, 2026
Available-for-saleHeld-to-maturity
(dollars in thousands)Amortized costFair valueAmortized costFair value
Due in one year or less$— $— $— $— 
Due after one year through five years101,618 97,267 32,305 29,725 
Due after five years through ten years— — — — 
Due after ten years— — 189 189 
Subtotal101,618 97,267 32,494 29,914 
Mortgage-related securities100,801 98,745 — — 
Total$202,419 $196,012 $32,494 $29,914