| Schedule of Assets and Liabilities Measured at Fair Value |
Disclosures concerning assets and liabilities measured at fair value are as follows: Assets and Liabilities Measured at Fair Value on a Recurring Basis
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Quoted Prices |
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In Active |
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Significant |
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Markets for |
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Other |
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Significant |
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Identical |
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Observable |
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Unobservable |
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Balance |
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(Dollars in thousands) |
Assets |
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Inputs |
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Inputs |
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at Date |
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(Level 1) |
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(Level 2) |
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(Level 3) |
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Indicated |
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Equity Securities Held at Fair Value - March 31, 2026 |
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Equity securities |
$ |
5,702 |
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$ |
- |
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$ |
3,723 |
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$ |
9,425 |
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Investment Securities, Available for Sale - March 31, 2026 |
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U.S. Treasury notes and bonds |
$ |
88,813 |
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$ |
- |
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$ |
- |
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$ |
88,813 |
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State and municipal |
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- |
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220,274 |
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- |
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220,274 |
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Mortgage-backed |
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- |
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253,066 |
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- |
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253,066 |
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Corporate |
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- |
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221 |
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- |
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221 |
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Asset-backed securities |
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- |
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11,157 |
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- |
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11,157 |
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Total |
$ |
88,813 |
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$ |
484,718 |
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$ |
- |
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$ |
573,531 |
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Derivative Instruments - March 31, 2026 |
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Interest rate derivative contracts - assets |
$ |
- |
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$ |
409 |
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$ |
- |
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$ |
409 |
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Interest rate derivative contracts - liabilities |
$ |
- |
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$ |
- |
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$ |
- |
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$ |
- |
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Interest rate swaps - March 31, 2026 |
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Interest rate swaps - assets |
$ |
- |
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$ |
1,119 |
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$ |
- |
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$ |
1,119 |
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Interest rate swaps - liabilities |
$ |
- |
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$ |
1,127 |
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$ |
- |
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$ |
1,127 |
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Equity Securities Held at Fair Value - December 31, 2025 |
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Equity securities |
$ |
5,723 |
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$ |
- |
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$ |
3,630 |
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$ |
9,353 |
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Investment Securities, Available for Sale - December 31, 2025 |
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U. S. Treasury notes and bonds |
$ |
89,035 |
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$ |
- |
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$ |
- |
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$ |
89,035 |
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State and municipal |
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- |
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227,574 |
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- |
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227,574 |
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Mortgage-backed |
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- |
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227,054 |
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- |
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227,054 |
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Corporate |
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- |
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222 |
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- |
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222 |
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Asset-backed securities |
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- |
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10,535 |
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- |
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10,535 |
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Total |
$ |
89,035 |
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$ |
465,385 |
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$ |
- |
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$ |
554,420 |
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Derivative Instruments - December 31, 2025 |
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Interest rate derivative contracts - assets |
$ |
- |
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$ |
8,446 |
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$ |
- |
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$ |
8,446 |
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Interest rate derivative contracts - liabilities |
$ |
- |
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$ |
- |
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$ |
- |
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$ |
- |
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Interest rate swaps - December 31, 2025 |
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Interest rate swaps - assets |
$ |
- |
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$ |
1,815 |
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$ |
- |
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$ |
1,815 |
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Interest rate swaps - liabilities |
$ |
- |
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$ |
1,826 |
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$ |
- |
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$ |
1,826 |
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| Schedule of Changes in Level 3 Assets Measured at Fair Value on a Recurring Basis |
Changes in Level 3 Assets Measured at Fair Value on a Recurring Basis
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Three Months Ended |
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(Dollars in thousands) |
March 31, |
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2026 |
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2025 |
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Equity Securities Held at Fair Value |
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Balance, January 1 |
$ |
3,630 |
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$ |
2,944 |
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Total realized and unrealized (losses) gains included in noninterest income |
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47 |
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58 |
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Net purchases, sales, calls, and maturities |
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46 |
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755 |
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Net transfers into Level 3 |
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- |
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- |
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Balance, March 31, |
$ |
3,723 |
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$ |
3,757 |
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Amount of total losses for the period included in earning attributable to the change in unrealized gains (losses) relating to assets and liabilities still held at March 31, |
$ |
10 |
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$ |
9 |
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| Schedule of Assets Measured at Fair Value on a Non-recurring Basis |
Assets Measured at Fair Value on a Non-recurring Basis
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Quoted Prices |
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In Active |
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Significant |
|
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Markets for |
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Other |
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Significant |
|
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Balances at |
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Identical |
|
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Observable |
|
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Unobservable |
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(Dollars in thousands) |
Dates |
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Assets |
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Inputs |
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Inputs |
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Indicated |
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(Level 1) |
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(Level 2) |
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(Level 3) |
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Collateral Dependent Loans |
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March 31, 2026 |
$ |
24,800 |
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$ |
- |
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$ |
- |
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$ |
24,800 |
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December 31, 2025 |
$ |
16,936 |
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$ |
- |
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$ |
- |
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$ |
16,936 |
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Other Real Estate |
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March 31, 2026 |
$ |
2,285 |
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$ |
- |
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$ |
- |
|
|
$ |
2,285 |
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December 31, 2025 |
$ |
2,524 |
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$ |
- |
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$ |
- |
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$ |
2,524 |
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