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Note 5 - Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2024
Notes Tables  
Fair Value, Assets Measured on Recurring Basis [Table Text Block]

Description

 

Total

  

Level 1

  

Level 2

  

Level 3

 
                 

2024

                

Assets

                

Securities available-for-sale

                

U.S. government treasuries

 $183,606  $183,606  $-  $- 

U.S. government agencies

  94,509   -   94,509   - 

U.S. government mortgage-backed securities

  94,148   -   94,148   - 

State and political subdivisions

  250,887   -   250,887   - 

Corporate bonds

  67,693   -   67,693   - 

Loans receivable

  8,011   -   8,011   - 

Derivative financial instruments

  1,139   -   1,139   - 
                 

Liabilities

                

Derivative financial instruments

 $116  $-  $116  $- 
                 

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 receivable

  8,327   -   8,327   - 

Derivative financial instruments

  1,225   -   1,225   - 
                 

Liabilities

                

Derivative financial instruments

 $745  $-  $745  $- 
Fair Value Measurements, Nonrecurring [Table Text Block]

Description

 

Total

  

Level 1

  

Level 2

  

Level 3

 
                 

2024

                
                 

Collateral dependent loans

 $-  $-  $-  $- 
                 

2023

                
                 

Collateral dependent loans

 $105  $-  $-  $105 
Fair Value Measurement Inputs and Valuation Techniques [Table Text Block]
  

2024

 
  

Estimated

 

Valuation

Unobservable

   
  

Fair Value

 

Techniques

Inputs

 

Range

 
           

Collateral dependent loans

 $- 

Fair value of collateral

Valuation adjustments

  0% - 25% 
  

2023

 
  

Estimated

 

Valuation

Unobservable

   
  

Fair Value

 

Techniques

Inputs

 

Range

 
           

Collateral dependent loans

 $105 

Fair value of collateral

Valuation adjustments

  0% - 15% 
Fair Value, by Balance Sheet Grouping [Table Text Block]
   

2024

  

2023

 
 

Fair Value

     

Estimated

      

Estimated

 
 

Hierarchy

 

Carrying

  

Fair

  

Carrying

  

Fair

 
 

Level

 

Amount

  

Value

  

Amount

  

Value

 
                  

Financial assets:

                 

Cash and cash equivalents

Level 1

 $63,442  $63,442  $55,101  $55,101 

Interest-bearing time deposits

Level 1

  6,415   6,040   8,904   8,444 

Securities available-for-sale

See previous table

  690,843   690,843   736,389   736,389 

FHLB and FRB stock

Level 2

  3,948   3,948   3,086   3,086 

Loans receivable, net

Level 3

  1,281,214   1,227,109   1,277,812   1,224,446 

Loans held for sale

Level 2

  510   510   124   124 

Accrued income receivable

Level 1

  12,484   12,484   12,953   12,953 

Derivative financial instruments

Level 2

  1,139   1,139   1,225   1,225 

Financial liabilities:

                 

Deposits

Level 2

 $1,821,113  $1,822,060  $1,811,831  $1,812,718 

Securities sold under agreements to repurchase

Level 1

  40,664   40,664   53,994   53,994 

Other borrowings

Level 2

  85,930   85,800   110,588   110,376 

Accrued interest payable

Level 1

  3,191   3,191   4,710   4,710 

Derivative financial instruments

Level 2

  116   116   745   745