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Note 8 - Accumulated Other Comprehensive (Loss) (Tables)
9 Months Ended
Sep. 30, 2025
Notes Tables  
Schedule of Accumulated Other Comprehensive Income (Loss) [Table Text Block]
  

Net Unrealized Gains (Losses) on Securities

  

Change in Fair Value of Cash Flow Hedges

  

Accumulated Other Comprehensive (Loss)

 

Balance at June 30, 2024

 $(21,163) $2,121  $(19,042)

Unrealized holding gains (net of tax, $980)

  3,687      3,687 

Amortization of unrealized holding losses on available-for-sale securities transferred to held to maturity (net of tax of $66)

  248      248 

Change in fair value of cash flow hedge (net of tax, ($87))

     (328)  (328)

Change during period

  3,935   (328)  3,607 

Balance at September 30, 2024

 $(17,228) $1,793  $(15,435)
             

Balance at June 30, 2025

 $(17,958) $1,866   (16,092)

Unrealized holding gains (net of tax, $734)

  2,757      2,757 

Amortization of unrealized holding losses on available-for-sale securities transferred to held to maturity (net of tax of $51)

  190      190 

Change in fair value of cash flow hedge (net of tax, ($17))

     (59)  (59)

Change during period

  2,947   (59)  2,888 

Balance at September 30, 2025

 $(15,011) $1,807  $(13,204)
  

Net Unrealized Gains (Losses) on Securities

  

Change in Fair Value of Cash Flow Hedges

  

Accumulated Other Comprehensive (Loss)

 

Balance at December 31, 2023

 $(20,671) $1,965  $(18,706)

Unrealized holding losses (net of tax, $706)

  2,652      2,652 

Amortization of unrealized holding losses on available-for-sale securities transferred to held to maturity (net of tax of $210)

  791      791 

Change in fair value of cash flow hedge (net of tax, ($47))

     (172)  (172)

Change during period

  3,443   (172)  3,271 

Balance at September 30, 2024

 $(17,228) $1,793  $(15,435)
             

Balance at December 31, 2024

 $(20,817) $2,125  $(18,692)

Unrealized holding gains (net of tax, $1,392)

  5,237      5,237 

Amortization of unrealized holding losses on available-for-sale securities transferred to held to maturity (net of tax of $152)

  569      569 

Change in fair value of cash flow hedge (net of tax, ($85))

     (318)  (318)

Change during period

  5,806   (318)  5,488 

Balance at September 30, 2025

 $(15,011) $1,807  $(13,204)