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Note 7 - Deposits (Tables)
12 Months Ended
Dec. 31, 2016
Notes Tables  
Schedule of Deposits [Table Text Block]
(In thousands)
 
As of December 31,
 
 
 
2016
 
 
 
 
 
 
2015
 
 
 
 
 
 
 
Balance
   
Weighted
Avg. Stated
Interest Rate
   
Balance
   
Weighted
Avg. Stated
Interest Rate
 
Non-interest bearing
  $
76,772
     
-
    $
85,797
     
-
 
Interest bearing:
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
NOW
   
29,912
     
0.0312
%    
27,951
     
0.0200
%
Savings
   
131,429
     
0.6439
%    
106,291
     
0.5362
%
Money market
   
15,593
     
0.0359
%    
19,508
     
0.0413
%
Certificates of deposit, less than $250,000
   
160,609
     
0.8899
%    
139,455
     
0.5960
%
Certificates of deposit, $250,000 or greater
   
51,077
     
1.3714
%    
17,509
     
0.7644
%
Brokered deposits
   
63,932
     
0.3436
%    
48,154
     
0.4310
%
Interest bearing, Total
   
452,552
     
0.7095
%    
358,868
     
0.4893
%
                                 
Total Deposits
  $
529,324
     
0.6166
%   $
444,665
     
0.4049
%
Schedule of Interest Expenses on Deposits Liabilities Type [Table Text Block]
(In thousands)
 
Year ended December 31,
 
 
 
2016
 
 
2015
 
 
2014
 
 
 
Interest
Expense
 
 
Weighted
Avg. Effective
Interest Rate
 
 
Interest
Expense
 
 
Weighted
Avg. Effective
Interest Rate
 
 
Interest
Expense
 
 
Weighted
Avg. Effective
Interest Rate
 
NOW
  $
8
     
0.0293
%   $
5
     
0.0182
%   $
3
     
0.0138
%
Savings
   
778
     
0.6196
%    
489
     
0.4929
%    
330
     
0.3842
%
Money market
   
7
     
0.0365
%    
9
     
0.0389
%    
15
     
0.0509
%
Certificates of deposit, less than $250,000
   
888
     
0.6460
%    
1,150
     
0.7111
%    
1,860
     
0.9164
%
Certificates of deposit, $250,000 or greater
   
215
     
0.9722
%    
147
     
0.8456
%    
154
     
0.9257
%
Brokered deposits
   
346
     
0.2579
%    
216
     
0.1930
%    
2
     
0.0035
%
    $
2,242
     
0.5533
%   $
2,016
     
0.5477
%   $
2,364
     
0.6303
%
Contractual Obligation, Fiscal Year Maturity Schedule [Table Text Block]
(In thousands)
 
CDs
less than
$250,000
 
 
Weighted
Avg. Stated
Interest Rate
 
 
CDs
$250,000
or
greater
 
 
Weighted
Avg. Stated
Interest Rate
 
 
Certificates
of
deposit
 
 
Weighted
Avg. Stated
Interest Rate
 
1 year or less
  $
121,014
     
0.7104
%   $
23,309
     
0.9662
%   $
144,323
     
0.7517
%
More than 1 year through 2 years
   
35,726
     
1.5372
%    
26,177
     
1.6924
%    
61,903
     
1.6028
%
More than 2 years through 3 years
   
1,738
     
0.5090
%    
1,591
     
2.0268
%    
3,329
     
1.2345
%
More than 3 years through 4 years
   
1,516
     
0.5454
%    
0
     
0.0000
%    
1,516
     
0.5454
%
More than 4 years through 5 years
   
615
     
0.5395
%    
0
     
0.0000
%    
615
     
0.5395
%
    $
160,609
     
0.8899
%   $
51,077
     
1.3714
%   $
211,686
     
1.0061
%