Derivative Instruments (Tables) |
6 Months Ended |
|---|---|
Jun. 30, 2026 | |
| Derivative Instruments And Hedging Activities Disclosure [Abstract] | |
| Schedule Of Derivative Instruments In Statement Of Financial Position Fair Value [Text Block] | Balance Sheet Notional Fair Value Fair Value (Dollars in thousands) Location Amount Asset Liability June 30, 2026: Interest rate swaps (fair value hedge) Other Assets $ 21,840 292 $ — Total interest rate swap $ 21,840 292 $ — Balance Sheet Notional Fair Value Fair Value (Dollars in thousands) Location Amount Asset Liability December 31, 2025: Interest rate swap (fair value hedge) Other Liabilities $ 9,988 — $ 22 Total interest rate swap $ 9,988 — $ 22 |
| Derivative Instrument Hedged Loans [Table Text Block] | Cumulative Fair Value Hedging Carrying Amount Adjustment Included (Dollars in thousands) of Hedged Loans in Carrying Amount June 30, 2026: Loans, net of unearned income $ 21,548 $ (292) December 31, 2025: Loans, net of unearned income $ 10,010 $ 22 |
| Schedule Of Derivatives Instruments Statements Of Financial Performance And Financial Position Location [Table Text Block] | Quarter ended June 30, Six months ended June 30, (Dollars in thousands) 2026 2025 2026 2025 Amount of gain (loss) recognized in income on derivative $ 271 $ — $ 314 $ — Amount of gain (loss) recognized in income on hedged item attributable to hedged risk (271) — (314) — Net impact on interest income (loans) $ — $ — $ — $ — |