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Note 5 - Deposits (Tables)
6 Months Ended
Jun. 30, 2023
Notes Tables  
Summary of Deposits and Percentage Change in Deposits [Table Text Block]
  

June 30, 2023

  

December 31, 2022

  

Percent

Increase

 
  

Balance

  

%

  

Balance

  

%

  

(Decrease)

 
                     

Noninterest-bearing checking

 $1,371,633,000   36.5% $1,604,750,000   43.2%  (14.5)%

Interest-bearing checking

  541,168,000   14.4   575,028,000   15.5   (5.9)

Money market

  927,143,000   24.7   776,723,000   20.9   19.4 

Savings

  314,606,000   8.4   381,602,000   10.3   (17.6)

Time, under $100,000

  144,052,000   3.8   113,099,000   3.0   27.4 

Time, $100,000 and over

  346,908,000   9.2   261,609,000   7.1   32.6 

Total local deposits

  3,645,510,000   97.0   3,712,811,000   100.0   (1.8)
                     

Out-of-area time, $100,000 and over

  111,279,000   3.0   0   0.0   N/A 
                     

Total deposits

 $3,756,789,000   100.0% $3,712,811,000   100.0%  

1.2

%