v3.26.1
Debt Securities (Tables)
3 Months Ended
Mar. 31, 2026
Debt Securities  
Schedule of Amortized Cost and Approximate Fair Values of Debt Securities

  

       Gross   Gross     
   Amortized   Unrealized   Unrealized   Fair 
   Cost   Gains   Losses   Value 
                 
At March 31, 2026:                    
Available for sale:                    
SBA Pool Securities  $404   $             -   $(10)  $394 
Collateralized mortgage obligations   117    -    (13)   104 
Taxable municipal securities   16,607    -    (4,066)   12,541 
Mortgage-backed securities   16,242    -    (2,237)   14,005 
Total  $33,370   $-   $(6,326)  $27,044 
                     
Held-to-maturity:                    
Collateralized mortgage obligations  $212   $-   $(24)  $188 
Total  $212   $-   $(24)  $188 
                     
At December 31, 2025:                    
Available for sale:                    
SBA Pool Securities  $439   $-   $(10)  $429 
Collateralized mortgage obligations   118    -    (12)   106 
Taxable municipal securities   16,616    -    (3,990)   12,626 
Mortgage-backed securities   14,156    -    (2,133)   12,023 
Total  $31,329   $-   $(6,145)  $25,184 
                     
Held-to-maturity:                    
Collateralized mortgage obligations  $214   $-   $(24)  $190 
Total  $214   $-   $(24)  $190 
Schedule of Debt Securities Available for Sale with Gross Unrealized Losses, by Investment Category

Debt securities available for sale with gross unrealized losses, aggregated by investment category and length of time that individual debt securities have been in a continuous loss position, is as follows (dollars in thousands):

  

   Over Twelve Months   Less Than Twelve Months 
   Gross       Gross     
   Unrealized   Fair   Unrealized   Fair 
   Losses   Value   Losses   Value 
At March 31, 2026:                    
Available for Sale:                    
SBA Pool Securities  $(10)  $394   $            -   $         - 
Collateralized mortgage obligation   (13)   104    -    - 
Taxable municipal securities   (4,066)   12,541    -    - 
Mortgage-backed securities   (2,117)   9,419    (120)   4,586 
Total  $(6,206)  $22,458   $(120)  $4,586 

 

   Over Twelve Months   Less Than Twelve Months 
   Gross       Gross     
   Unrealized   Fair   Unrealized   Fair 
   Losses   Value   Losses   Value 
                 
At December 31, 2025:                    
Available for Sale:                    
SBA Pool Securities  $(10)  $429   $               -   $              - 
Collateralized mortgage obligation   (12)   106    -    - 
Taxable municipal securities   (3,990)   12,626    -    - 
Mortgage-backed securities   (2,133)   12,023    -    - 
Total  $(6,145)  $25,184   $-   $-