XML 31 R15.htm IDEA: XBRL DOCUMENT v3.3.1.900
Interest-Bearing Deposits
12 Months Ended
Dec. 31, 2015
Interest-Bearing Deposits [Abstract]  
Interest-Bearing Deposits

Note 7
Interest-Bearing Deposits

 

Interest-bearing deposits consist of the following:

 


December 31,
(In thousands) 2015 2014
Interest-bearing demand deposits   $ 386,203     $ 354,511  
Savings deposits   16,758       24,914  
Time deposits:                
       Less than $100   4,758       6,956  
       $100 to less than $250     43,178       57,284  
$250 or more     13,764       15,535  
Total   $ 464,661     $ 459,200  
Weighted average interest rate     .51     .58

 

Interest on deposits consists of the following:

 

  December 31,
(In thousands)   2015   2014   2013
Interest-bearing demand deposits   $ 1,392   $ 1,564   $ 1,737
Savings deposits   65   87   138
Time deposits:        
       Less than $100   346   472   600
       $100 to less than $250     119   135   145
$250 or more       189       202       212  
Total     $ 2,111   $ 2,460   $ 2,832

 

The scheduled maturities of time deposits are summarized as follows:

 

December 31,
2015 2014
Percent         Percent
(In thousands) Amount of Total Amount   of Total
Due within:                        
       One year $ 55,350   89.7 %   $ 66,436   83.3 %
       Two years     2,690   4.4       10,759   13.5  
       Three years   1,566   2.5       1,148   1.4  
       Four years     83   .1       1,250   1.6  
       Five years     2,011   3.3       182   .2  
Total   $ 61,700   100.0 %   $ 79,775   100.0 %