v3.26.1
Investment securities (Tables)
6 Months Ended
Jun. 30, 2026
Investment securities  
Schedule of amortized cost and fair value of investment securities aggregated by investment category

June 30, 2026

Gross

Gross

Amortized

Unrealized

Unrealized

Fair

 

(Dollars in thousands)

  ​ ​ ​

Cost  

  ​ ​ ​

Gains  

  ​ ​ ​

Losses  

  ​ ​ ​

Value  

 

Available for sale:

U.S. Treasury securities

$

19,123

$

$

1,120

$

18,003

State and municipals:

Taxable

 

64,588

13

7,348

 

57,253

Tax-exempt

 

149,271

 

1,038

7,480

 

142,829

Residential mortgage-backed securities:

U.S. government agencies

 

20,476

 

456

 

20,020

U.S. government-sponsored enterprises

 

153,258

 

149

 

15,460

 

137,947

Commercial mortgage-backed securities:

U.S. government-sponsored enterprises

 

1,679

 

 

21

 

1,658

Private collateralized mortgage obligations

48,018

512

484

48,046

Asset backed securities

14,862

34

306

14,590

Corporate debt securities

16,734

475

153

17,056

Negotiable certificates of deposit

741

1

742

Total available for sale

$

488,750

$

2,222

$

32,828

$

458,144

Held to maturity:

Tax-exempt state and municipals

$

10,794

$

1

$

587

$

10,208

Residential mortgage-backed securities:

U.S. government agencies

 

11,593

 

2,011

 

9,582

U.S. government-sponsored enterprises

 

46,336

 

6,815

 

39,521

Total held to maturity

$

68,723

$

1

$

9,413

$

59,311

  ​ ​ ​

December 31, 2025

 

Gross

  ​ ​ ​

Gross

Amortized

Unrealized

Unrealized

Fair

 

(Dollars in thousands)

  ​ ​ ​

Cost  

  ​ ​ ​

Gains  

  ​ ​ ​

Losses  

  ​ ​ ​

Value  

 

Available for sale:

U.S. Treasury securities

$

32,125

$

$

1,127

$

30,998

State and municipals:

 

Taxable

 

68,618

 

22

7,018

 

61,622

Tax-exempt

 

132,586

 

429

 

7,898

 

125,117

Residential mortgage-backed securities:

U.S. government agencies

 

42,801

 

145

 

247

 

42,699

U.S. government-sponsored enterprises

 

174,223

 

962

 

15,105

 

160,080

Commercial mortgage-backed securities:

U.S. government-sponsored enterprises

1,789

19

1,770

Private collateralized mortgage obligations

48,007

766

289

48,484

Asset backed securities

16,544

23

300

16,267

Corporate debt securities

24,287

829

322

24,794

Negotiable certificates of deposit

727

5

732

Total available for sale

$

541,707

$

3,181

$

32,325

$

512,563

Held to maturity:

Tax-exempt state and municipals

$

10,812

$

4

$

620

$

10,196

Residential mortgage-backed securities:

U.S. government agencies

12,291

 

1,977

 

10,314

U.S. government-sponsored enterprises

 

48,944

 

6,656

 

42,288

Total held to maturity

$

72,047

$

4

$

9,253

$

62,798

Schedule of maturity distribution

Amortized

 

Fair

(Dollars in thousands)

  ​ ​ ​

Cost

 

Value

Within one year

$

3,135

$

3,131

After one but within five years

 

63,816

 

60,773

After five but within ten years

 

61,730

 

54,916

After ten years

 

121,776

 

117,063

 

250,457

 

235,883

Mortgage-backed and other amortizing securities

 

238,293

 

222,261

Total

$

488,750

$

458,144

Amortized

Fair

(Dollars in thousands)

  ​ ​ ​

Cost 

  ​ ​ ​

Value  

After one but within five years

$

6,186

$

5,852

After five but within ten years

4,608

4,356

 

10,794

 

10,208

Mortgage-backed securities

 

57,929

 

49,103

Total

$

68,723

$

59,311

Schedule of fair value and unrealized losses of investment securities in continuous unrealized loss position

June 30, 2026

Less than
Twelve Months

Twelve Months
or Longer

Total

Total #
in a Loss

Unrealized

Total #
in a Loss

Unrealized

Total #
in a Loss

Unrealized

(Dollars in thousands)

Position

Fair Value

Losses

Position

Fair Value

Losses

Position

Fair Value

Losses

Securities available for sale

U.S. Treasury securities

5

$

18,003

$

1,120

5

$

18,003

$

1,120

State and municipals:

Taxable

61

55,979

7,348

61

55,979

7,348

Tax-exempt

30

$

26,044

$

352

82

59,346

7,128

112

85,390

7,480

Residential mortgage-backed securities:

U.S. government agencies

5

20,020

456

5

20,020

456

U.S. government-sponsored enterprises

28

57,863

528

28

60,672

14,932

56

118,535

15,460

Commercial mortgage-backed securities:

U.S. government-sponsored enterprises

1

1,658

21

1

1,658

21

Private collateralized mortgage obligations

20

23,581

167

9

8,966

317

29

32,547

484

Asset-backed securities

3

4,704

18

2

1,813

288

5

6,517

306

Corporate debt securities

2

1,738

13

2

2,190

140

4

3,928

153

Total

88

$

133,950

$

1,534

190

$

208,627

$

31,294

278

$

342,577

$

32,828

Securities Held to Maturity

Tax-exempt state and municipals

2

$

1,467

$

9

10

$

6,166

$

578

12

$

7,633

$

587

Residential mortgage-backed securities:

U.S. government agencies

3

9,582

2,011

3

9,582

2,011

U.S. government-sponsored enterprises

8

39,521

6,815

8

39,521

6,815

Total

2

$

1,467

$

9

21

$

55,269

$

9,404

23

$

56,736

$

9,413

December 31, 2025

Less than
Twelve Months

Twelve Months
or Longer

Total

Total #
in a Loss

Unrealized

Total #
in a Loss

Unrealized

Total #
in a Loss

Unrealized

(Dollars in thousands)

Position

Fair Value

Losses

Position

Fair Value

Losses

Position

Fair Value

Losses

Securities available for sale

U.S. Treasury securities

8

$

30,998

$

1,127

8

$

30,998

$

1,127

State and municipals:

Taxable

64

59,002

7,018

64

59,002

7,018

Tax-exempt

37

$

35,137

$

519

87

63,245

7,379

124

98,382

7,898

Residential mortgage-backed securities:

U.S. government agencies

6

28,689

247

6

28,689

247

U.S. government-sponsored enterprises

3

8,989

60

34

71,288

15,045

37

80,277

15,105

Commercial mortgage-backed securities:

U.S. government-sponsored enterprises

1

1,770

19

1

1,770

19

Private collateralized mortgage obligations

8

14,534

96

11

8,000

193

19

22,534

289

Asset-backed securities

3

4,884

12

2

1,888

288

5

6,772

300

Corporate debt securities

2

1,491

9

8

7,451

313

10

8,942

322

Total

59

$

93,724

$

943

215

$

243,642

$

31,382

274

$

337,366

$

32,325

Securities held to maturity

Tax-exempt state and municipals

11

$

6,641

$

620

11

$

6,641

$

620

Residential mortgage-backed securities:

U.S. government agencies

3

10,314

1,977

3

10,314

1,977

U.S. government-sponsored enterprises

8

42,288

6,656

8

42,288

6,656

Total

22

$

59,243

$

9,253

22

$

59,243

$

9,253

Summary of unrealized and realized gains and losses

For the three months ended

For the six months ended

June 30,

June 30,

(Dollars in thousands)

2026

2025

2026

2025

Net gains (losses) recognized on equity securities

$

33

$

(7)

$

489

$

64

Less: net gains realized on equity securities sold

104

104

Unrealized (losses) gains on equity securities

$

(71)

$

(7)

$

385

$

64