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Business Combinations (Allocation of Purchase Price) (Details) - USD ($)
6 Months Ended
May 03, 2021
Mar. 01, 2020
Jun. 30, 2021
Dec. 31, 2020
Dec. 31, 2019
Consideration transferred:          
Goodwill     $ 76,858,000 $ 74,135,000 $ 65,614,000
Fountain [Member]          
Assets:          
Cash and cash equivalents $ 413,000   413,000    
Leases 54,945,000   54,225,000    
Allowance for loan losses (1,796,000)        
Intangibles     2,658,000    
Other repossessed assets 319,000   319,000    
Other assets 233,000   233,000    
Total assets acquired 54,114,000   57,848,000    
Liabilities:          
Payables and other liabilities 683,000   454,000    
Total liabilities assumed 683,000   454,000    
Total fair value of net assets acquired 53,431,000   57,394,000    
Cash consideration paid 14,000,000.0   59,794,000    
Business Combination, Consideration Transferred, Total     59,794,000    
Assets:          
Leases (720,000)        
Allowance for loan losses 1,796,000        
Intangibles 2,658,000        
Total assets acquired 3,734,000        
Liabilities:          
Payables and other liabilities (229,000)        
Total liabilities assumed (229,000)        
Consideration transferred:          
Aggregate fair value adjustments 3,963,000        
Goodwill $ 2,400,000   2,400,000    
Progressive Financial Group Inc. [Member]          
Assets:          
Cash and cash equivalents   $ 55,971,000 55,971,000    
Investment securities available-for-sale   27,054,000 27,257,000    
Restricted investments   692,000 692,000    
Loans   191,672,000 187,981,000    
Allowance for loan losses   (2,832,000)      
Premises and equipment   15,681,000 12,762,000    
Bank owned life insurance   5,560,000 5,560,000    
Deferred tax asset, net     1,006,000    
Intangibles     2,497,000    
Other real estate owned   3,695,000 1,733,000    
Interest Receivable   1,061,000 781,000    
Prepaids   375,000 201,000    
Goodwill   231,000      
Other assets   1,881,000 1,881,000    
Total assets acquired   301,041,000 298,322,000    
Liabilities:          
Deposits   271,276,000 271,276,000    
Time deposit premium     729,000    
Payables and other liabilities   776,000 776,000    
Total liabilities assumed   272,052,000 272,781,000    
Total fair value of net assets acquired   28,989,000 25,541,000    
Cash consideration paid   9,800,000 9,838,000    
Common stock issued   $ 1,292,578 24,547,000    
Number of shares issued (in shares)   1,292,578      
Business Combination, Consideration Transferred, Total     34,385,000    
Assets:          
Investment securities available-for-sale   $ 203,000      
Loans   (3,691,000)      
Allowance for loan losses   2,832,000      
Premises and equipment, net   (2,919,000)      
Deferred tax asset, net   813,000 193,000    
Intangibles   1,370,000 1,127,000    
Other real estate owned   (100,000) (1,862,000)    
Interest Receivable   (280,000)      
Prepaids   (174,000)      
Goodwill   (231,000)      
Total assets acquired   (2,177,000) (542,000)    
Liabilities:          
Time deposit premium   729,000      
Total liabilities assumed   729,000      
Consideration transferred:          
Aggregate fair value adjustments   (2,906,000) (542,000)    
Goodwill   $ 8,800,000 $ 8,844,000