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Note 2 - Securities (Tables)
3 Months Ended
Mar. 31, 2025
Notes Tables  
Schedule of Available-for-sale and Held-to-maturity Reconciliation [Table Text Block]
  

March 31, 2025

 
  

Amortized Cost

  

Gross Unrealized Gains

  

Gross Unrealized (Losses)

  

Fair Value

  

Allowance for Credit Losses

 

Securities available for sale:

                    

U.S. Treasury securities

 $12,486  $  $(646) $11,840  $ 

U.S. agency and mortgage-backed securities

  105,963   62   (10,954)  95,071    

Obligations of states and political subdivisions

  62,558   4   (8,497)  54,065    

Total securities available for sale

 $181,007  $66  $(20,097) $160,976  $ 

Securities held to maturity:

                    

U.S. Treasury securities

 $9,696  $  $(81) $9,615  $ 

U.S. agency and mortgage-backed securities

  85,038      (7,874)  77,164    

Obligations of states and political subdivisions

  10,645   5   (1,064)  9,586    

Corporate debt securities

  3,000      (420)  2,580   (87)

Total securities held to maturity

 $108,379  $5  $(9,439) $98,945  $(87)

Total securities

 $289,386  $71  $(29,536) $259,921  $(87)
  

December 31, 2024

 
  

Amortized Cost

  

Gross Unrealized Gains

  

Gross Unrealized (Losses)

  

Fair Value

  

Allowance for Credit Losses

 

Securities available for sale:

                    

U.S. Treasury securities

 $12,483  $  $(795) $11,688  $ 

U.S. agency and mortgage-backed securities

  110,480   57   (12,498)  98,039    

Obligations of states and political subdivisions

  62,954   5   (8,839)  54,120    

Total securities available for sale

 $185,917  $62  $(22,132) $163,847  $ 

Securities held to maturity:

                    

U.S. Treasury securities

 $9,632  $  $(125) $9,507  $ 

U.S. agency and mortgage-backed securities

  86,554      (9,282)  77,272    

Obligations of states and political subdivisions

  10,649   8   (1,112)  9,545    

Corporate debt securities

  3,000      (450)  2,550   (94)

Total securities held to maturity

 $109,835  $8  $(10,969) $98,874  $(94)

Total securities

 $295,752  $70  $(33,101) $262,721  $(94)
Gain (Loss) on Securities [Table Text Block]
  

March 31, 2025

 
  

Less than 12 months

  

12 months or more

  

Total

 
  

Fair Value

  

Unrealized (Loss)

  

Fair Value

  

Unrealized (Loss)

  

Fair Value

  

Unrealized (Loss)

 

Securities available for sale:

                        

U.S. Treasury securities

 $  $  $11,840  $(646) $11,840  $(646)

U.S. agency and mortgage-backed securities

  16,497   (76)  66,642   (10,878)  83,139   (10,954)

Obligations of states and political subdivisions

  3,361   (40)  48,990   (8,457)  52,351   (8,497)

Total securities available for sale

 $19,858  $(116) $127,472  $(19,981) $147,330  $(20,097)
  

December 31, 2024

 
  

Less than 12 months

  

12 months or more

  

Total

 
  

Fair Value

  

Unrealized (Loss)

  

Fair Value

  

Unrealized (Loss)

  

Fair Value

  

Unrealized (Loss)

 

Securities available for sale:

                        

U.S. Treasury securities

 $  $  $11,688  $(795) $11,688  $(795)

U.S. agency and mortgage-backed securities

  23,445   (237)  67,800   (12,261)  91,245   (12,498)

Obligations of states and political subdivisions

  4,839   (135)  47,776   (8,704)  52,615   (8,839)

Total securities available for sale

 $28,284  $(372) $127,264  $(21,760) $155,548  $(22,132)
Investments Classified by Contractual Maturity Date [Table Text Block]
  

Available for Sale

  

Held to Maturity

 
  

Amortized Cost

  

Fair Value

  

Amortized Cost

  

Fair Value

 

Due within one year

 $1,335  $1,331  $206  $205 

Due after one year through five years

  33,931   32,194   28,080   26,930 

Due after five years through ten years

  39,598   36,639   12,829   11,979 

Due after ten years

  106,143   90,812   67,264   59,831 
  $181,007  $160,976  $108,379  $98,945 
Marketable Securities [Table Text Block]
  

March 31, 2025

  

December 31, 2024

 

Federal Home Loan Bank stock

 $1,421  $1,467 

Federal Reserve Bank stock

  2,752   2,010 

Community Bankers’ Bank stock

  263   264 
  $4,436  $3,741 
Debt Securities, Held-to-Maturity, Credit Quality Indicator [Table Text Block]
  

U.S. Treasury securities

  

U.S. agency and mortgage-backed securities

  

Obligations of states and political subdivisions

  

Corporate debt securities

  

Total Held to Maturity Securities

 

March 31, 2025

                    

Aaa

 $9,696  $23,233  $2,481  $  $35,410 

Aa1 / Aa2 / Aa3

        8,164      8,164 

Baa1 / Baa2 / Baa3

           3,000   3,000 

Not rated - Agency (1)

     61,805         61,805 

Total

 $9,696  $85,038  $10,645  $3,000  $108,379 

December 31, 2024

                    

Aaa

 $9,632  $23,173  $2,487  $  $35,292 

Aa1 / Aa2 / Aa3

        8,162      8,162 

Baa1 / Baa2 / Baa3

           3,000   3,000 

Not rated - Agency (1)

     63,381         63,381 

Total

 $9,632  $86,554  $10,649  $3,000  $109,835 
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Table Text Block]
  

U.S. Treasury securities

  

U.S. agency and mortgage-backed securities

  

Obligations of states and political subdivisions

  

Corporate debt securities

  

Total Held to Maturity Securities

 

Balance, December 31, 2024

 $  $  $  $94  $94 

Provision for credit losses

           (7)  (7)

Charge-offs of securities

               

Recoveries

               

Balance, March 31, 2025

 $  $  $  $87  $87 
  

U.S. Treasury securities

  

U.S. agency and mortgage-backed securities

  

Obligations of states and political subdivisions

  

Corporate debt securities

  

Total Held to Maturity Securities

 

Balance, December 31, 2023

 $  $  $  $106  $106 

Provision for credit losses

           (12)  (12)

Charge-offs of securities

               

Recoveries

               

Balance, December 31, 2024

 $  $  $  $94  $94