v3.26.1
Business Acquisition - Schedule of Acquisition consideration (Details) - Cecil Bancorp, Inc. [Member]
$ in Thousands
Feb. 01, 2026
USD ($)
Business Acquisition Consideration [Line Items]  
Total purchase price consideration $ 31,329
Recognized amounts of identifiable assets acquired and liabilities assumed:  
Cash and equivalents, Book value 30,361
Cash and equivalents, Fair value adjustments
Cash and equivalents, Fair value 30,361
Securities available for sale book value 19,213
Securities available for sale fair value adjustments (183)
Securities available for sale fair value 19,030
Assets acquired and liabilities loans gross book value 152,992
Assets acquired and liabilities loans gross fair value adjustments (5,592)
Assets acquired and liabilities loans gross fair value 147,400
Allowance for credit losses book value (1,517)
Allowance for credit losses fair value adjustments (481)
Allowance for credit losses fair value (1,998)
Loans, net of allowance book value 151,475
Loans, net of allowance fair value adjustments (6,073)
Loans, net of allowance fair value 145,402
Business combination premises and equipment book value 2,580
Business combination premises and equipment fair value adjustments (463)
Business combination premises and equipment fair value 2,117
Regulatory stock book value 1,085
Regulatory stock fair value adjustment
Regulatory stock fair value 1,085
Core deposit intangible book value
Core deposit intangible fair value adjustments 2,746
Core deposit intangible fair value 2,746
Operating lease right of use asset book value 578
Operating lease right of use asset fair value adjustments (107)
Operating lease right of use asset fair value 471
Deferred tax assets book value 9,604
Deferred tax assets fair value adjustments (1,633)
Deferred tax assets fair value 7,971
Other assets book value 2,712
Other assets fair value adjustments (214)
Other assets fair value 2,498
Total identifiable assets acquired book value 217,608
Total identifiable assets acquired fair value adjustments (5,927)
Total identifiable assets acquired fair value 211,681
Deposits book value 186,681
Deposits fair value adjustments (297)
Deposits fair value 186,384
Operating lease liability book value 591
Operating lease liability fair value adjustments (89)
Operating lease liability fair value 502
Reserve for unfunded commitments book value 52
Reserve for unfunded commitments fair value adjustments (37)
Reserve for unfunded commitments fair value 15
Other liabilities book value 163
Other liabilities fair value adjustments
Other liabilities fair value 163
Total liabilities assumed book value 187,487
Total liabilities assumed fair value adjustments (423)
Total liabilities assumed fair value 187,064
Total identifiable net assets book value 30,121
Total identifiable net assets fair value adjustments (5,504)
Total identifiable net assets fair value 24,617
Goodwill fair value $ 6,712