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Note 7 - Deposits - Summary of Deposits (Details) - USD ($)
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Noninterest-bearing $ 1,604,750,000 $ 1,677,952,000
Noninterest-bearing demand, percentage 43.20% 41.10%
Noninterest-bearing demand, percent increase (decrease) (4.40%)  
Interest-bearing checking $ 575,028,000 $ 538,838,000
Interest-bearing checking, percentage 15.50% 13.20%
Interest-bearing checking, percent increase (decrease) 6.70%  
Money market $ 776,723,000 $ 1,040,176,000
Money market, percentage 20.90% 25.50%
Money market, percent increase (decrease) (25.30%)  
Savings $ 381,602,000 $ 394,330,000
Savings, percentage 10.30% 9.70%
Savings, percent increase (decrease) (3.20%)  
Local Time, under $100,000 $ 113,099,000 $ 132,776,000
Local Time, under $100,000, percentage 3.00% 3.20%
Local Time, under $100,000, percent increase (decrease) (14.80%)  
Local Time, $100,000 and over $ 261,609,000 $ 275,208,000
Local Time, $100,000 and over, percentage 7.10% 6.70%
Local Time, $100,000 and over, percent increase (decrease) (4.90%)  
Total local deposits $ 3,712,811,000 $ 4,059,280,000
Total local deposits, percentage 100.00% 99.40%
Total local deposits, percent increase (decrease) (8.50%)  
Out-of-area time, $100,000 and over $ 0 $ 23,913,000
Out-of-area time, $100,000 and over, percentage 0.00% 0.60%
Out-of-area time, $100,000 and over, percent increase (decrease) (100.00%)  
Total deposits $ 3,712,811,000 $ 4,083,193,000
Total deposits, percentage 100.00% 100.00%
Total deposits, percent increase (decrease) (9.10%)