XML 49 R38.htm IDEA: XBRL DOCUMENT v3.24.2.u1
Note 13 - Regulatory Capital (Tables)
6 Months Ended
Jun. 30, 2024
Notes Tables  
Schedule of Compliance with Regulatory Capital Requirements under Banking Regulations [Table Text Block]
                          

To be Well Capitalized

 
                          

Under Prompt

 
          

For Capital

  

For Capital Adequacy

  

Corrective

 
  

Actual

  

Adequacy Purposes

  

with Capital Buffer

  

Action Provisions

 

Bank Only

 

Amount

  

Ratio

  

Amount

  

Ratio

  

Amount

  

Ratio

  

Amount

  

Ratio

 

At June 30, 2024

                                

Total risk-based capital

                                

(to risk-weighted assets)

 $355,165   13.85% $205,122   8.00% $269,223   10.50% $256,403   10.00%

Tier 1 risk-based capital

                                

(to risk-weighted assets)

 $323,105   12.60% $153,842   6.00% $217,943   8.50% $205,122   8.00%

Tier 1 leverage capital

                                

(to average assets)

 $323,105   10.94% $118,153   4.00% $N/A   N/A  $147,691   5.00%

CET 1 capital

                                

(to risk-weighted assets)

 $323,105   12.60% $115,381   4.50% $179,482   7.00% $166,662   6.50%
                                 

At December 31, 2023

                                

Total risk-based capital

                                

(to risk-weighted assets)

 $339,436   13.37% $203,094   8.00% $266,561   10.50% $253,868   10.00%

Tier 1 risk-based capital

                                

(to risk-weighted assets)

 $307,686   12.12% $152,321   6.00% $215,787   8.50% $203,094   8.00%

Tier 1 leverage capital

                                

(to average assets)

 $307,686   10.39% $118,488   4.00% $N/A   N/A  $148,109   5.00%

CET 1 capital

                                

(to risk-weighted assets)

 $307,686   12.12% $114,240   4.50% $177,707   7.00% $165,014   6.50%