v3.26.1
STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS - 401(k) Profit Sharing Plan - USD ($)
Dec. 31, 2025
Dec. 31, 2024
Investments, at fair value    
Total investments, at fair value $ 47,695,781 $ 41,948,204
Annuity insurance contracts, at contract value 182,514 210,797
Total investments 47,878,295 42,159,001
Cash 108 47
Notes receivable from participants 567,660 475,711
Contribution receivable from employer 43,707  
Contribution receivable from participants 60,329  
Accrued interest receivable 16,506 18,232
TOTAL ASSETS 48,566,605 42,652,991
NET ASSETS AVAILABLE FOR BENEFITS 48,566,605 42,652,991
Common/collective funds    
Investments, at fair value    
Total investments, at fair value 24,100,209 22,089,426
Mutual funds    
Investments, at fair value    
Total investments, at fair value 18,740,527 15,400,206
AmeriServ Financial, Inc. common stock    
Investments, at fair value    
Total investments, at fair value 534,424 390,420
Money market funds/cash equivalents    
Investments, at fair value    
Total investments, at fair value $ 4,320,621 $ 4,068,152