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Note 2 - Investments (Tables)
6 Months Ended
Jun. 30, 2024
Notes Tables  
Investment [Table Text Block]
  

June 30, 2024

 
              

Estimated

     
  

Amortized

  

Unrealized

  

Unrealized

  

Fair

     

SECURITIES AVAILABLE-FOR-SALE

 

Cost

  

Gains

  

Losses

  

Values

  

ACL

 

U.S. agency securities

 $20,238  $45  $(3,167) $17,116  $ 

Corporate securities

  16,000   51   (866)  15,185    

Municipal bonds

  84,345      (12,700)  71,645    

Mortgage-backed securities

  112,462   168   (11,909)  100,721    

U.S. Small Business Administration securities

  17,603   79   (1,167)  16,515    

Total securities available-for-sale

  250,648   343   (29,809)  221,182    
                     

SECURITIES HELD-TO-MATURITY

                    

Corporate securities

  8,500      (633)  7,867   45 

Total securities held-to-maturity

  8,500      (633)  7,867   45 
                     

Total securities

 $259,148  $343  $(30,442) $229,049  $45 
  

December 31, 2023

 
              

Estimated

     
  

Amortized

  

Unrealized

  

Unrealized

  

Fair

     

SECURITIES AVAILABLE-FOR-SALE

 

Cost

  

Gains

  

Losses

  

Values

  

ACL

 

U.S. agency securities

 $21,151  $46  $(3,179) $18,018  $ 

Corporate securities

  13,000   613   (741)  12,872    

Municipal bonds

  138,803   42   (19,398)  119,447    

Mortgage-backed securities

  112,855   238   (11,845)  101,248    

U.S. Small Business Administration securities

  42,886      (1,538)  41,348    

Total securities available-for-sale

  328,695   939   (36,701)  292,933    
                     

SECURITIES HELD-TO-MATURITY

                    

Corporate securities

  8,500      (834)  7,666   45 

Total securities held-to-maturity

  8,500      (834)  7,666   45 
                     

Total securities

 $337,195  $939  $(37,535) $300,599  $45 
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Table Text Block]

SECURITIES HELD-TO-MATURITY

 

For the Three Months Ended June 30,

 

Corporate Securities

 

2024

  

2023

 

Beginning ACL balance

 $45  $31 

Provision for (recapture of) credit losses

      

Total ending ACL balance

 $45  $31 

SECURITIES HELD-TO-MATURITY

 

For the Six Months Ended June 30,

 

Corporate Securities

 

2024

  

2023

 

Beginning ACL balance

 $45  $31 

Provision for (recapture of) credit losses

      

Total ending ACL balance

 $45  $31 
Debt Securities, Held-to-Maturity, Credit Quality Indicator [Table Text Block]
  

June 30,

  

December 31,

 

Corporate securities

 

2024

  

2023

 

BBB/BBB-

 $7,000  $7,000 

BB+

  1,500   1,500 

Total

 $8,500  $8,500 
Schedule of Financial Instruments Owned and Pledged as Collateral [Table Text Block]
  

June 30, 2024

 

Purpose or beneficiary

 

Carrying Value

  

Amortized Cost

  

Fair Value

 

State and local government public deposits

 $34,729  $40,641  $34,729 
Gain (Loss) on Securities [Table Text Block]
  

June 30, 2024

 
  

Less than 12 Months

  

12 Months or Longer

  

Total

 
  

Fair

  

Unrealized

  

Fair

  

Unrealized

  

Fair

  

Unrealized

 

SECURITIES AVAILABLE-FOR-SALE

 

Value

  

Losses

  

Value

  

Losses

  

Value

  

Losses

 

U.S. agency securities

 $  $  $15,071  $(3,167) $15,071  $(3,167)

Corporate securities

  7,874   (126)  4,260   (740)  12,134   (866)

Municipal bonds

  884   (9)  70,761   (12,691)  71,645   (12,700)

Mortgage-backed securities

  11,908   (41)  65,462   (11,868)  77,370   (11,909)

U.S. Small Business Administration securities

        7,593   (1,167)  7,593   (1,167)

Total securities available-for-sale

  20,666   (176)  163,147   (29,633)  183,813   (29,809)
                         

SECURITIES HELD-TO-MATURITY

                        

Corporate securities

        7,867   (633)  7,867   (633)

Total securities held-to-maturity

        7,867   (633)  7,867   (633)
                         

Total securities

 $20,666  $(176) $171,014  $(30,266) $191,680  $(30,442)
  

December 31, 2023

 
  

Less than 12 Months

  

12 Months or Longer

  

Total

 
  

Fair

  

Unrealized

  

Fair

  

Unrealized

  

Fair

  

Unrealized

 

SECURITIES AVAILABLE-FOR-SALE

 

Value

  

Losses

  

Value

  

Losses

  

Value

  

Losses

 

U.S. agency securities

 $  $  $15,972  $(3,179) $15,972  $(3,179)

Corporate securities

  959   (41)  4,300   (700)  5,259   (741)

Municipal bonds

  3,922   (23)  113,577   (19,375)  117,499   (19,398)

Mortgage-backed securities

  20,662   (113)  67,376   (11,732)  88,038   (11,845)

U.S. Small Business Administration securities

  33,211   (460)  8,137   (1,078)  41,348   (1,538)

Total securities available-for-sale

  58,754   (637)  209,362   (36,064)  268,116   (36,701)
                         

SECURITIES HELD-TO-MATURITY

                        

Corporate securities

        7,666   (834)  7,666   (834)

Total securities held-to-maturity

        7,666   (834)  7,666   (834)
                         

Total securities

 $58,754  $(637) $217,028  $(36,898) $275,782  $(37,535)
Investments Classified by Contractual Maturity Date [Table Text Block]
  

June 30,

  

December 31,

 
  

2024

  

2023

 

SECURITIES AVAILABLE-FOR-SALE

 

Amortized

  

Fair

  

Amortized

  

Fair

 

U.S. agency securities

 

Cost

  

Value

  

Cost

  

Value

 

Due within one year

 $  $  $922  $914 

Due after one year through five years

  4,954   4,499   3,947   3,544 

Due after five years through ten years

  10,973   9,207   11,972   10,139 

Due after ten years

  4,311   3,410   4,310   3,421 

Subtotal

  20,238   17,116   21,151   18,018 

Corporate securities

                

Due within one year

        1,000   1,004 

Due after one year through five years

  10,000   9,960   6,000   6,609 

Due after five years through ten years

  4,000   3,839   4,000   3,839 

Due after ten years

  2,000   1,386   2,000   1,420 

Subtotal

  16,000   15,185   13,000   12,872 

Municipal bonds

                

Due within one year

  1,000   1,000   1,013   1,003 

Due after one year through five years

  78   78   757   751 

Due after five years through ten years

  6,316   5,852   7,603   7,101 

Due after ten years

  76,951   64,715   129,430   110,592 

Subtotal

  84,345   71,645   138,803   119,447 

Mortgage-backed securities

                

Federal National Mortgage Association (“FNMA”)

  83,261   73,097   76,369   66,275 

Federal Home Loan Mortgage Corporation (“FHLMC”)

  21,351   20,331   32,311   31,376 

Government National Mortgage Association (“GNMA”)

  7,850   7,293   4,175   3,597 

Subtotal

  112,462   100,721   112,855   101,248 

U.S. Small Business Administration securities

                

Due within one year

  42   41   198   196 

Due after one year through five years

  1,434   1,373   1,860   1,824 

Due after five years through ten years

  6,858   6,648   21,420   20,929 

Due after ten years

  9,269   8,453   19,408   18,399 

Subtotal

  17,603   16,515   42,886   41,348 

Total securities available-for-sale

  250,648   221,182   328,695   292,933 
                 

SECURITIES HELD-TO-MATURITY

                

Corporate securities

                

Due after five years through ten years

  8,500   7,867   8,500   7,666 

Total securities held-to-maturity

  8,500   7,867   8,500   7,666 

Total securities

 $259,148  $229,049  $337,195  $300,599 
Schedule of Realized Gain (Loss) [Table Text Block]
  

For the Three Months Ended

  
  

June 30, 2024

  
     

Gross

  

Gross

  
  

Proceeds

  

Gains

  

(Losses)

  

Securities available-for-sale

 

$

54,423

  

$

204

  

$

(53)

  
  For the Six Months Ended 
  

June 30, 2024

 
      

Gross

  

Gross

 
  

Proceeds

  

Gains

  

(Losses)

 

Securities available-for-sale

 $98,459  $204  $(8,051)