v3.26.1
SECURITIES - Schedule of Contractual Maturity of Securities Available for Sale, Excluding Equity Securities (Details) - USD ($)
$ in Thousands
Jun. 30, 2026
Dec. 31, 2025
Amortized Cost    
1 year or less $ 11,507  
1 year – 5 years 75,967  
5 years – 10 years 120,286  
After 10 years 14,781  
Total, Amortized Cost 222,541  
Total debt securities 734,772  
Fair Value    
1 year or less 11,350  
1 year – 5 years 72,539  
5 years – 10 years 115,745  
After 10 years 11,510  
Total, Fair Value 211,144  
Total debt securities 692,513 $ 584,330
Amortized Cost    
1 year or less 72,616  
1 year – 5 years 60,920  
5 years – 10 years 8,981  
After 10 years 0  
Total, Amortized Cost 142,517  
Total debt securities 203,049 242,138
Fair Value    
1 year or less 71,784  
1 year – 5 years 57,163  
5 years – 10 years 7,961  
After 10 years 0  
Total, Fair Value 136,908  
Total debt securities 190,521 229,694
Agency residential & multi-family mortgage    
Amortized Cost    
Mortgage & asset backed securities, Amortized Cost 505,523  
Fair Value    
Mortgage & asset backed securities, Fair Value 475,080  
Total debt securities 475,080 328,247
Amortized Cost    
Mortgage & asset backed securities, Amortized Cost 60,532  
Fair Value    
Mortgage & asset backed securities, Fair Value 53,613  
Total debt securities 53,613 58,186
Pooled SBA    
Amortized Cost    
Mortgage & asset backed securities, Amortized Cost 6,708  
Fair Value    
Mortgage & asset backed securities, Fair Value 6,289  
Total debt securities 6,289 $ 7,200
Amortized Cost    
Mortgage & asset backed securities, Amortized Cost 0  
Fair Value    
Mortgage & asset backed securities, Fair Value $ 0