Quarterly report [Sections 13 or 15(d)]

Securities (Tables)

v3.26.1
Securities (Tables)
6 Months Ended
Jun. 30, 2026
Investments, Debt and Equity Securities [Abstract]  
Schedule of Debt Securities, Available-for-Sale
The estimated fair value of available-for-sale securities and the related gross unrealized gains and losses recognized in accumulated other comprehensive income (loss) were as follows:
(Dollars in thousands)
Cost
Basis
Gross
Unrealized
Gains
Gross
Unrealized
Losses
Estimated
Fair
Value
June 30, 2026
U.S. government agency securities(1)
$ 8,884  $ $ (378) $ 8,506 
Collateralized mortgage obligations and residential mortgage-backed securities 118,293  (19,300) 98,993 
Municipal securities 235,517  (34,727) 200,790 
Collateralized debt obligations 2,133  (224) 1,909 
Total securities available-for-sale $ 364,827  $ $ (54,629) $ 310,198 

(1) Includes securities issued or backed by the U.S. government and its agencies and U.S. government sponsored entities.

(Dollars in thousands)
Cost
Basis
Gross
Unrealized
Gains
Gross
Unrealized
Losses
Estimated
Fair
Value
December 31, 2025
U.S. government agency securities(1)
$ 8,884  $ $ (418) $ 8,466 
Collateralized mortgage obligations and residential mortgage-backed securities 123,833  (19,168) 104,665 
Municipal securities 236,168  (34,956) 201,214 
Collateralized debt obligations 2,141  (259) 1,882 
Total securities available-for-sale $ 371,026  $ $ (54,801) $ 316,227 
(1) Includes securities issued or backed by the U.S. government and its agencies and U.S. government sponsored entities.
Schedule of Investments Classified by Contractual Maturity Date
The cost basis and estimated fair value of available-for-sale debt securities at June 30, 2026, by contractual maturity, were as follows. Securities not due at a single maturity date, primarily collateralized mortgage obligations and residential mortgage-backed securities, are shown separately.
(Dollars in thousands)
Available-for-sale
June 30, 2026 Cost
Basis
Estimated
Fair
Value
Due in one year or less $ $
Due from one to five years 13,039  7,322 
Due from five to ten years 44,201  41,385 
Due over ten years 189,294  162,498 
Collateralized mortgage obligations and residential mortgage-backed securities 118,293  98,993 
Total $ 364,827  $ 310,198 
Schedule of Accumulated Other Comprehensive Income (Loss)
Accumulated other comprehensive income/(loss) balances, net of tax, related to available-for-sale securities, were as follows:
(Dollars in thousands)
Unrealized loss
Beginning balance, April 1, 2026 $ (45,713)
Period change 4,181 
Ending balance, June 30, 2026 $ (41,532)
(Dollars in thousands)
Unrealized loss
Beginning balance, April 1, 2025 $ (58,244)
Period change 684 
Ending balance, June 30, 2025 $ (57,560)
(Dollars in thousands)
Unrealized loss
Beginning Balance, January 1, 2026 $ (41,662)
Period change 130 
Ending Balance, June 30, 2026 $ (41,532)
(Dollars in thousands)
Unrealized loss
Beginning Balance, January 1, 2025 $ (58,084)
Period change 524 
Ending balance, June 30, 2025 $ (57,560)
Schedule of Unrealized Losses on Investments
Securities with unrealized losses not recognized in income at June 30, 2026, and December 31, 2025, aggregated by investment category and length of time that individual securities have been in a continuous unrealized loss position, were as follows:
(Dollars in thousands)
Less than 12 months 12 months or longer Total
Estimated
Fair
Value
Unrealized
Losses
Estimated
Fair
Value
Unrealized
Losses
Estimated
Fair
Value
Unrealized
Losses
Percentage of
Total Portfolio
in Loss Position
June 30, 2026
U.S. government agency securities $ $ $ 8,506  $ (378) $ 8,506  $ (378) 100.0 %
Collateralized mortgage obligations and residential mortgage-backed securities 98,993  (19,300) 98,993  (19,300) 100.0 %
Municipal securities 1,845  (30) 198,945  (34,697) 200,790  (34,727) 100.0 %
Collateralized debt obligations 1,909  (224) 1,909  (224) 100.0 %
Total $ 1,845  $ (30) $ 308,353  $ (54,599) $ 310,198  $ (54,629) 100.0 %
Number of securities 3 367 370
(Dollars in thousands)
Less than 12 months 12 months or longer Total
Estimated
Fair
Value
Unrealized
Losses
Estimated
Fair
Value
Unrealized
Losses
Estimated
Fair
Value
Unrealized
Losses
Percentage of
Total Portfolio
in Loss Position
December 31, 2025
U.S. government agency securities $ $ $ 8,466  $ (418) $ 8,466  $ (418) 100.0 %
Collateralized mortgage obligations and residential mortgage-backed securities 104,665  (19,168) 104,665  (19,168) 100.0 %
Municipal securities 200,469  (34,956) 200,469  (34,956) 99.6 %
Collateralized debt obligations 1,882  (259) 1,882  (259) 100.0 %
Total $ $ $ 315,482  $ (54,801) $ 315,482  $ (54,801) 99.8 %
Number of securities - 369 369