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Note 10 - Deposits
12 Months Ended
Dec. 31, 2017
Notes to Financial Statements  
Deposit Liabilities Disclosures [Text Block]
Note
10
.
Deposits
 
The
following table presents the components of deposits as of the dates indicated:
 
   
December 31,
 
 
 
2017
   
2016
 
(Amounts in thousands)
               
Noninterest-bearing demand deposits
  $
454,143
    $
427,705
 
Interest-bearing deposits:
               
Interest-bearing demand deposits
   
465,407
     
378,339
 
Money market accounts
   
170,731
     
196,997
 
Savings deposits
   
342,064
     
326,263
 
Certificates of deposit
   
374,373
     
382,503
 
Individual retirement accounts
   
123,173
     
129,531
 
Total interest-bearing deposits
   
1,475,748
     
1,413,633
 
Total deposits
  $
1,929,891
    $
1,841,338
 
 
T
he following schedule presents the contractual maturities of time deposits, by year, as of
December 31, 2017:
 
(Amounts in thousands)
       
2018
  $
219,529
 
2019
   
89,780
 
2020
   
95,905
 
2021
   
44,136
 
2022
   
48,121
 
2023 and thereafter
   
75
 
Total contractual maturities   $
497,546
 
 
Time deposits
of
$250
thousand or more totaled
$48.50
million as of
December 31, 2017,
and
$41.55
million as of
December 31, 2016.
The following schedule presents the contractual maturities of time deposits of
$250
thousand or more as of
December 31, 2017:
 
(Amounts in thousands)
       
Three months or less
  $
4,274
 
Over three through six months
   
3,786
 
Over six through twelve months
   
7,517
 
Over twelve months
   
32,924
 
Total contractual maturities     $
48,501