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Note 8 - Accumulated Other Comprehensive (Loss) - Changes in Each Component of Accumulated Other Comprehensive Income (Loss) (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2025
Mar. 31, 2024
Balance $ 166,531 $ 116,271
Unrealized holding gains losses 1,612 (1,246)
Total other comprehensive (loss) 1,629 (811)
Balance 168,676 117,816
AOCI, Accumulated Gain (Loss), Debt Securities, Available-for-Sale, Parent [Member]    
Balance (20,817) (20,671)
Unrealized holding gains losses 1,612 (1,246)
Amortization of unrealized holding losses on available-for-sale securities transferred to held to maturity 188 290
Change in fair value of cash flow hedge (net of tax, $38) 0 0
Total other comprehensive (loss) 1,800 (956)
Change in fair value of cash flow hedge (net of tax, ($45)) 0 0
Balance (19,017) (21,627)
Accumulated Gain (Loss), Net, Cash Flow Hedge, Parent [Member]    
Balance 2,125 1,965
Unrealized holding gains losses 0 0
Amortization of unrealized holding losses on available-for-sale securities transferred to held to maturity 0 0
Change in fair value of cash flow hedge (net of tax, $38) (171) 145
Total other comprehensive (loss) (171) 145
Change in fair value of cash flow hedge (net of tax, ($45)) (171) 145
Balance 1,954 2,110
AOCI Attributable to Parent [Member]    
Balance (18,692) (18,706)
Unrealized holding gains losses 1,612 (1,246)
Amortization of unrealized holding losses on available-for-sale securities transferred to held to maturity 188 290
Change in fair value of cash flow hedge (net of tax, $38) (171) 145
Total other comprehensive (loss) 1,629 (811)
Change in fair value of cash flow hedge (net of tax, ($45)) (171) 145
Balance $ (17,063) $ (19,517)