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Note 16 - Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2023
Notes Tables  
Fair Value, Assets Measured on Recurring Basis [Table Text Block]

Description

 

Total

   

Level 1

   

Level 2

   

Level 3

 
                                 

2023

                               

Assets

                               

Securities available-for-sale

                               

U.S. government treasuries

  $ 200,088     $ 200,088     $ -     $ -  

U.S. government agencies

    92,615       -       92,615       -  

U.S. government mortgage-backed securities

    101,864       -       101,864       -  

State and political subdivisions

    269,891       -       269,891       -  

Corporate bonds

    71,931       -       71,931       -  

Loans

    8,327       -       8,327       -  

Derivative financial instruments

    1,225       -       1,225       -  
                                 

Liabilities

                               

Derivative financial instruments

  $ 745     $ -     $ 745     $ -  
                                 

2022

                               

Assets

                               

Securities available-for-sale

                               

U.S. government treasuries

  $ 207,597     $ 207,597     $ -     $ -  

U.S. government agencies

    100,933       -       100,933       -  

U.S. government mortgage-backed securities

    116,741       -       116,741       -  

State and political subdivisions

    286,003       -       286,003       -  

Corporate bonds

    75,164       -       75,164       -  

Loans

    8,494       -       8,494       -  

Derivative financial instruments

    1,096       -       1,096       -  
Fair Value Measurements, Nonrecurring [Table Text Block]

Description

 

Total

   

Level 1

   

Level 2

   

Level 3

 
                                 

2023

                               
                                 

Loans receivable

  $ 105     $ -     $ -     $ 105  
                                 

2022

                               
                                 

Loans receivable

  $ 304     $ -     $ -     $ 304  
Fair Value Measurement Inputs and Valuation Techniques [Table Text Block]
   

2023

 
   

Estimated

 

Valuation

Range of

 

Range

 
   

Fair Value

 

Techniques

Unobservable Inputs   

(Average)

 
                     

Loans receivable

  $ 105  

Evaluation of collateral

Estimation of value

    NM*  
   

2022

 
   

Estimated

 

Valuation

Range of

 

Range

 
   

Fair Value

 

Techniques

Unobservable Inputs   

(Average)

 
                     

Loans receivable

  $ 304  

Evaluation of collateral

Estimation of value

    NM*  
Fair Value, by Balance Sheet Grouping [Table Text Block]
     

2023

   

2022

 
 

Fair Value

         

Estimated

           

Estimated

 
 

Hierarchy

 

Carrying

   

Fair

   

Carrying

   

Fair

 
 

Level

 

Amount

   

Value

   

Amount

   

Value

 
                                   

Financial assets:

                                 

Cash and cash equivalents

Level 1

  $ 55,101     $ 55,101     $ 27,884     $ 27,884  

Interest-bearing time deposits

Level 2

    8,904       8,444       14,669       14,340  

Securities available-for-sale

See previous table

    736,389       736,389       786,438       786,438  

FHLB and FRB stock

Level 2

    3,086       3,086       4,613       4,613  

Loans receivable, net

Level 2

    1,277,812       1,224,446       1,226,011       1,170,948  

Loans held for sale

Level 2

    124       124       154       154  

Accrued income receivable

Level 1

    12,953       12,953       11,275       11,275  

Derivative financial instruments

Level 2

    1,225       1,225       1,096       1,096  

Financial liabilities:

                                 

Deposits

Level 2

  $ 1,811,831     $ 1,812,718     $ 1,897,957     $ 1,895,473  

Securities sold under agreements to repurchase

Level 1

    53,994       53,994       40,676       40,676  

Other borrowings

Level 2

    110,588       110,376       39,120       38,991  

Accrued interest payable

Level 1

    4,710       4,710       666       666  

Derivative financial instruments

Level 2

    745       745       -       -