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Note 2 - Securities Available for Sale (Tables)
6 Months Ended
Jun. 30, 2025
Notes Tables  
Debt Securities, Available-for-Sale [Table Text Block]
  

June 30, 2025

 
      

Gross

  

Gross

     
  

Amortized

  

unrealized

  

unrealized

     
  

cost

  

gains

  

losses

  

Fair value

 
  

(In Thousands)

 

Mortgage-backed securities

 $11,969  $2  $(1,475) $10,496 

Collateralized mortgage obligations:

                

Government sponsored enterprise issued

  157,483   490   (15,958)  142,015 

Private-label issued

  6,499   -   (580)  5,919 

Mortgage-related securities

  175,951   492   (18,013)  158,430 
                 

Government sponsored enterprise bonds

  2,500   -   (15)  2,485 

Municipal securities

  49,911   441   (1,310)  49,042 

Other debt securities

  10,000   -   (1,200)  8,800 

Debt securities

  62,411   441   (2,525)  60,327 

Total

 $238,362  $933  $(20,538) $218,757 
  

December 31, 2024

 
      

Gross

  

Gross

     
  

Amortized

  

unrealized

  

unrealized

     
  

cost

  

gains

  

losses

  

Fair value

 
  

(In Thousands)

 

Mortgage-backed securities

 $11,285  $-  $(1,674) $9,611 

Collateralized mortgage obligations

                

Government sponsored enterprise issued

  151,200   77   (19,541)  131,736 

Private-label issued

  7,122   -   (722)  6,400 

Mortgage related securities

  169,607   77   (21,937)  147,747 
                 

Government sponsored enterprise bonds

  2,500   -   (60)  2,440 

Municipal securities

  48,023   383   (1,330)  47,076 

Other debt securities

  12,500   -   (1,214)  11,286 

Debt securities

  63,023   383   (2,604)  60,802 

Total

 $232,630  $460  $(24,541) $208,549 
Investments Classified by Contractual Maturity Date [Table Text Block]
  

Amortized

  

Fair

 
  

Cost

  

Value

 
  

(In Thousands)

 

Debt and other securities

        

Due within one year

 $5,555  $5,545 

Due after one year through five years

  14,252   13,148 

Due after five years through ten years

  18,964   18,420 

Due after ten years

  23,640   23,214 

Mortgage-related securities

  175,951   158,430 

Total

 $238,362  $218,757 
Debt Securities, Available-for-Sale, Unrealized Loss Position, Fair Value [Table Text Block]
  

June 30, 2025

 
  

Less than 12 months

  

12 months or longer

  

Total

 
  

Fair

  

Unrealized

  

Fair

  

Unrealized

  

Fair

  

Unrealized

 
  

value

  

loss

  

value

  

loss

  

value

  

loss

 
  

(In Thousands)

 

Mortgage-backed securities

 $1,590  $17  $8,711  $1,458  $10,301  $1,475 

Collateralized mortgage obligations:

                        

Government sponsored enterprise issued

  5,669   62   91,546   15,896   97,215   15,958 

Private-label issued

  -   -   5,017   580   5,017   580 

Government sponsored enterprise bonds

  -   -   2,485   15   2,485   15 

Municipal securities

  16,785   322   4,474   988   21,259   1,310 

Other debt securities

  -   -   8,800   1,200   8,800   1,200 

Total

 $24,044  $401  $121,033  $20,137  $145,077  $20,538 
  

December 31, 2024

 
  

Less than 12 months

  

12 months or longer

  

Total

 
  

Fair

  

Unrealized

  

Fair

  

Unrealized

  

Fair

  

Unrealized

 
  

value

  

loss

  

value

  

loss

  

value

  

loss

 
  

(In Thousands)

 

Mortgage-backed securities

 $346  $9  $9,193  $1,665  $9,539  $1,674 

Collateralized mortgage obligations:

                        

Government sponsored enterprise issued

  21,145   330   95,587   19,211   116,732   19,541 

Private-label issued

  -   -   5,445   722   5,445   722 

Government sponsored enterprise bonds

  -   -   2,440   60   2,440   60 

Municipal securities

  20,005   334   5,063   996   25,068   1,330 

Other debt securities

  -   -   11,286   1,214   11,286   1,214 

Total

 $41,496  $673  $129,014  $23,868  $170,510  $24,541