National Bank Holdings NBHC Debt Securities Held To Maturity Continuous Unrealized Loss Position12Months Or Longer Accumulated Loss1
Debt Securities Held To Maturity Continuous Unrealized Loss Position12Months Or Longer Accumulated Loss1 at other companies
Other financials
Where this comes from
Reported directly by National Bank Holdings in its filing.
Tagged under the XBRL concept nbhc:DebtSecuritiesHeldToMaturityContinuousUnrealizedLossPosition12MonthsOrLongerAccumulatedLoss1.
The official record: National Bank Holdings’s 10-Q, filed May 7, 2026, on SEC EDGAR. View the filing →
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Questions, answered.
- What is National Bank Holdings's debt securities held to maturity continuous unrealized loss position12months or longer accumulated loss1?
- National Bank Holdings (NBHC) reported debt securities held to maturity continuous unrealized loss position12months or longer accumulated loss1 of $58.31M in Q1 2026.
- How has National Bank Holdings's debt securities held to maturity continuous unrealized loss position12months or longer accumulated loss1 changed year-over-year?
- National Bank Holdings's debt securities held to maturity continuous unrealized loss position12months or longer accumulated loss1 decreased by 18.3% year-over-year, from $71.4M to $58.31M.
- What is the long-term trend for National Bank Holdings's debt securities held to maturity continuous unrealized loss position12months or longer accumulated loss1?
- Over 4 years (2021 to 2025), National Bank Holdings's debt securities held to maturity continuous unrealized loss position12months or longer accumulated loss1 has grown at a 135.4% compound annual growth rate (CAGR), from $1.86M to $57.26M.
- What does debt securities held to maturity continuous unrealized loss position12months or longer accumulated loss1 mean?
- This metric represents the total accumulated unrealized loss for held-to-maturity debt securities that have been in a loss position for twelve months or longer. It quantifies the long-term erosion of market value for assets intended to be held until maturity. This is a key metric for evaluating the long-term credit and interest rate risk profile of the bank's investment strategy.