v3.26.1
FAIR VALUE MEASUREMENTS (Tables)
12 Months Ended
Dec. 31, 2025
401(k) Profit Sharing Plan  
FAIR VALUE MEASUREMENTS  
Schedule of Plan's Assets Fair Value Hierarchy

December 31, 2025

Level I

Level II

Level III

Total

Assets:

 

  ​

 

  ​

 

  ​

 

  ​

Mutual funds

$

18,740,527

$

$

$

18,740,527

Common stock of AmeriServ Financial, Inc.

 

534,424

 

 

534,424

Money market funds/cash equivalents

 

4,320,621

 

 

4,320,621

Total assets in the fair value hierarchy

 

23,595,572

 

 

 

23,595,572

Investments measured at net asset value (a)

24,100,209

Investments, at fair value

$

23,595,572

$

$

$

47,695,781

December 31, 2024

Level I

Level II

Level III

Total

Assets:

 

  ​

 

  ​

 

  ​

 

  ​

Mutual funds

$

15,400,206

$

$

$

15,400,206

Common stock of AmeriServ Financial, Inc.

 

390,420

 

 

390,420

Money market funds/cash equivalents

 

4,068,152

 

 

4,068,152

Total assets in the fair value hierarchy

 

19,858,778

 

 

 

19,858,778

Investments measured at net asset value (a)

22,089,426

Investments, at fair value

$

19,858,778

$

$

$

41,948,204

(a) Investments that were measured at net asset value per share (or its equivalent) have not been classified in the fair value hierarchy. These amounts are being presented in the tables above to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Net Assets Available for Benefits.