v3.26.1
FAIR VALUE OF FINANCIAL INSTRUMENTS (Tables)
6 Months Ended
Jun. 30, 2026
FAIR VALUE OF FINANCIAL INSTRUMENTS  
Schedule of assets and liabilities measured at fair value on a recurring and non-recurring basis

Assets and liabilities measured at fair value on a recurring and non-recurring basis are summarized below (in thousands):

Fair Value Measurement using:

Quoted Prices

in Active

Significant

Markets

Other

Significant

Carrying

For Identical

Observable

Unobservable

  ​ ​ ​

Amount

  ​ ​ ​

Assets (Level 1)

  ​ ​ ​

Inputs (Level 2)

  ​ ​ ​

Inputs (Level 3)

At June 30, 2026

Recurring Fair Value Measurements:

Assets

U.S. Government agency securities

$

18,181

$

$

18,181

$

U.S. State and Municipal securities

9,692

9,692

Residential mortgage securities

594,889

594,889

Commercial mortgage securities

42,812

42,812

Asset-backed securities

2,204

2,204

CRA Mutual Fund

5,646

5,646

Derivative assets

4,021

4,021

Liabilities

Derivative liabilities

268

268

Non-Recurring Fair Value Measurements:

Assets

Collateral dependent loans

34,980

34,980

Fair Value Measurement using:

Quoted Prices

in Active

Significant

Markets

Other

Significant

Carrying

For Identical

Observable

Unobservable

  ​ ​ ​

Amount

  ​ ​ ​

Assets (Level 1)

  ​ ​ ​

Inputs (Level 2)

  ​ ​ ​

Inputs (Level 3)

At December 31, 2025

Recurring Fair Value Measurements:

Assets

U.S. Government agency securities

$

28,114

$

$

28,114

$

U.S. State and Municipal securities

9,728

9,728

Residential mortgage securities

495,032

495,032

Commercial mortgage securities

43,700

43,700

Asset-backed securities

2,358

2,358

CRA Mutual Fund

5,609

5,609

Derivative assets

888

888

Liabilities

Derivative liabilities

4,562

4,562

Non-Recurring Fair Value Measurements:

Assets

Collateral dependent loans

42,408

42,408

Schedule of carrying amount and estimated fair values of financial instruments

Carrying amounts and estimated fair values of financial instruments not carried at fair value were as follows (in thousands):

Fair Value Measurement Using:

Quoted Prices

in Active

Significant

Markets

Other

Significant

Carrying

For Identical

Observable

Unobservable

Total Fair

At June 30, 2026

  ​ ​ ​

Amount

  ​ ​ ​

Assets (Level 1)

  ​ ​ ​

Inputs (Level 2)

  ​ ​ ​

Inputs (Level 3)

  ​ ​ ​

Value

Financial Assets:

Cash and due from banks

$

10,253

$

10,253

$

$

$

10,253

Overnight deposits

229,011

229,011

229,011

Securities held-to-maturity

415,041

369,452

369,452

Loans, net

7,266,891

7,306,266

7,306,266

Other investments

FRB Stock

17,008

N/A

N/A

N/A

N/A

FHLB Stock

8,504

N/A

N/A

N/A

N/A

Disability Fund

1,500

1,500

1,500

Time deposits at banks

747

747

747

Accrued interest receivable

36,505

3,124

33,381

36,505

Financial Liabilities:

Non-interest-bearing demand deposits

$

1,591,126

$

1,591,126

$

$

$

1,591,126

Money market and savings deposits

5,987,018

5,987,018

5,987,018

Time deposits

153,338

153,011

153,011

Trust preferred securities

20,620

20,007

20,007

Accrued interest payable

2,603

9

2,289

305

2,603

Secured and other borrowings

15,938

15,938

15,938

Fair Value Measurement Using:

Quoted Prices

in Active

Significant

Markets

Other

Significant

Carrying

For Identical

Observable

Unobservable

Total Fair

At December 31, 2025

  ​ ​ ​

Amount

  ​ ​ ​

Assets (Level 1)

  ​ ​ ​

Inputs (Level 2)

  ​ ​ ​

Inputs (Level 3)

  ​ ​ ​

Value

Financial Assets:

Cash and due from banks

$

12,086

$

12,086

$

$

$

12,086

Overnight deposits

381,501

381,501

381,501

Securities held-to-maturity

356,627

313,082

313,082

Loans, net

6,713,152

6,790,711

6,790,711

Other investments

FRB Stock

11,410

N/A

N/A

N/A

N/A

FHLB Stock

7,224

N/A

N/A

N/A

N/A

Disability Fund

1,500

1,500

1,500

Time deposits at banks

498

498

498

Accrued interest receivable

35,818

2,430

33,388

35,818

Financial Liabilities:

Non-interest-bearing demand deposits

$

1,479,420

$

1,479,420

$

$

$

1,479,420

Money market and savings deposits

5,707,634

5,707,634

5,707,634

Time deposits

190,124

190,195

190,195

Trust preferred securities

20,620

20,028

20,028

Accrued interest payable

1,635

12

1,302

321

1,635

Secured and other borrowings

10,975

10,975

10,975