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Note 11 - Derivative Financial Instruments (Tables)
3 Months Ended
Mar. 31, 2025
Notes Tables  
Schedule of Derivative Instruments [Table Text Block]
  

Notional Amount

  

Fair Value

 

Balance Sheet Category

March 31, 2025

         

Interest rate swaps

 $8,427  $741 

Other assets

Interest rate swaps

  25,000   (216)

Other liabilities

December 31, 2024

         

Interest rate swaps

 $8,531  $909 

Other assets

Interest rate swaps

  25,000   (161)

Other liabilities

           

Weighted Average

  

Weighted Average

 
  

Notional Amount

  

Fair Value

 

Balance Sheet Category

 

Receive Rate

  

Pay Rate

 

March 31, 2025

                 

Customer interest rate swaps

 $13,133  $135 

Other assets

  6.32%  5.85%

Customer interest rate swaps

  13,133   (135)

Other liabilities

  5.85%  6.32%

December 31, 2024

                 

Customer interest rate swaps

 $12,258  $87 

Other assets

  6.48%  5.81%

Customer interest rate swaps

  12,258   (87)

Other liabilities

  5.81%  6.48%
Schedule of Derivative Instruments in Statement of Financial Position, Fair Value [Table Text Block]
       

Cumulative Amount of Fair Value

 
 

Location in the consolidated

 

Carrying Amount of

  

Hedging Adjustment Included in

 
 

balance sheet

 

the Hedged Assets

  

Carrying Amount of Hedged Assets

 

March 31, 2025

         

Interest rate swaps

Loans receivable, net

 $51,378  $(524)

December 31, 2024

         

Interest rate swaps

Loans receivable, net

 $52,567  $(748)