v3.26.1
Derivative Financial Instruments (Tables)
6 Months Ended
Jun. 30, 2026
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of the Notional Amounts and Fair Values of Derivative Financial Instruments
The following table presents a summary of notional amounts and fair values of derivative financial instruments at the dates indicated:
June 30, 2026December 31, 2025
(dollars in thousands)Balance Sheet Line ItemNotional AmountAsset (Liability) Fair ValueNotional AmountAsset (Liability) Fair Value
Interest Rate Lock Commitments
Positive fair valuesOther assets$49,380 $308 $40,370 $402 
Negative fair valuesOther liabilities18,576 (108)2,735 (13)
Total$67,956 $200 $43,105 $389 
Forward Commitments
Positive fair valuesOther assets$3,000 $$— $— 
Negative fair valuesOther liabilities15,750 (59)8,000 (32)
Total$18,750 $(55)$8,000 $(32)
Customer Derivatives - Interest Rate Swaps
Positive fair valuesOther assets$52,855 $1,528 $53,954 $1,909 
Negative fair valuesOther liabilities52,855 (1,535)53,954 (1,929)
Total$105,710 $(7)$107,908 $(20)
Customer Derivatives - Risk Participation Agreements
Positive fair valuesOther assets$— $— $— $— 
Negative fair valuesOther liabilities44,039 (25)24,166 (23)
Total$44,039 $(25)$24,166 $(23)
Fair Value Hedge
Positive fair valuesOther assets$40,000 $15 $40,000 $21 
Negative fair valuesOther liabilities— — — — 
Total$40,000 $15 $40,000 $21 
Interest Rate Swaps
Positive fair valuesOther assets$— $— $— $— 
Negative fair valuesOther liabilities25,000 (36)75,000 (281)
Total$25,000 $(36)$75,000 $(281)
Total derivative financial instruments$301,455 $92 $298,179 $54 
Schedule of the Net Change in the Fair Value of Derivative Instruments
The following table presents a summary of the net change in the fair value of derivative instruments:
Three months ended
June 30,
Six months ended
June 30,
(dollars in thousands)2026202520262025
Interest Rate Lock Commitments$14 $24 $(189)$126 
Forward Commitments(172)(110)(23)(141)
Customer Derivatives - Interest Rate Swaps10 (13)13 (46)
Customer Derivatives - Risk Participation Agreements44 (3)44 108 
Net change in the fair value of derivative instruments$(104)$(102)$(155)$47