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Note 7 - Deposits
12 Months Ended
Dec. 31, 2017
Notes to Financial Statements  
Deposit Liabilities Disclosures [Text Block]
Note
7.
Deposits
 
The following table presents the balance of deposits held, by category, and the related weighted average stated interest rate as of
December 
31,
 
2017
and
2016.
 
   
December 31,
 
(In thousands)
 
2017
   
2016
 
   
Balance
   
Weighted
Avg. Stated
Interest Rate
   
Balance
   
Weighted
Avg. Stated
Interest Rate
 
Non-interest bearing
  $
81,197
     
-
    $
76,772
     
-
 
Interest bearing:
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
NOW
   
25,476
     
0.0399
%    
29,912
     
0.0312
%
Savings
   
135,975
     
0.8645
%    
131,429
     
0.6439
%
Money market
   
16,575
     
0.0394
%    
15,593
     
0.0359
%
Certificates of deposit, less than $250,000
   
173,221
     
1.1375
%    
160,609
     
0.8899
%
Certificates of deposit, $250,000 or greater
   
66,866
     
1.5225
%    
51,077
     
1.3714
%
Brokered deposits
   
138,129
     
1.3366
%    
63,932
     
0.3436
%
Interest bearing, Total
   
556,242
     
0.9455
%    
452,552
     
0.7095
%
                                 
Total Deposits
  $
637,439
     
0.8250
%   $
529,324
     
0.6166
%
 
 
The following table presents interest expense, by deposit category, and the related weighted average effective interest rate for each of the years in the
three
-year period ended
December 
31,
 
2017.
 
(In thousands)
 
Year ended December 31,
 
   
2017
   
2016
   
2015
 
   
Interest
Expense
   
Weighted
Avg. Effective
Interest Rate
   
Interest
Expense
   
Weighted
Avg. Effective
Interest Rate
   
Interest
Expense
   
Weighted
Avg. Effective
Interest Rate
 
NOW
  $
7
     
0.0272
%   $
8
     
0.0293
%   $
5
     
0.0182
%
Savings
   
1,160
     
0.8069
%    
778
     
0.6196
%    
489
     
0.4929
%
Money market
   
5
     
0.0367
%    
7
     
0.0365
%    
9
     
0.0389
%
Certificates of deposit, less than $250,000
   
1,875
     
1.0499
%    
888
     
0.6460
%    
1,150
     
0.7111
%
Certificates of deposit, $250,000 or greater
   
912
     
1.4577
%    
215
     
0.9722
%    
147
     
0.8456
%
Brokered deposits
   
989
     
1.2417
%    
346
     
0.2579
%    
216
     
0.1930
%
    $
4,948
     
0.9878
%   $
2,242
     
0.5533
%   $
2,016
     
0.5477
%
 
As of
December 
31,
 
2017,
contractual maturities of Certificates of Deposit (“CDs”), excluding brokered deposits that are short-term in nature (e.g., less than
one
year), and the related weighted average stated interest rate by maturity is summarized as follows:
 
(In thousands)
 
CDs
less than
$250,000
   
Weighted
Avg. Stated
Interest Rate
   
CDs
$250,000
or
greater
   
Weighted
Avg. Stated
Interest Rate
   
Total
Certificates
of
deposit
   
Weighted
Avg. Stated
Interest Rate
 
1 year or less
  $
152,420
     
1.0906
%    
60,358
     
1.4959
%    
212,778
     
1.2056
%
More than 1 year through 2 years
   
18,556
     
1.5755
%    
6,508
     
1.7689
%    
25,064
     
1.6257
%
More than 2 years through 3 years
   
1,315
     
0.7947
%    
-
     
0.0000
%    
1,315
     
0.7947
%
More than 3 years through 4 years
   
308
     
0.5419
%    
-
     
0.0000
%    
308
     
0.5419
%
More than 4 years through 5 years
   
622
     
0.5770
%    
-
     
0.0000
%    
622
     
0.5770
%
    $
173,221
     
1.1375
%   $
66,866
     
1.5225
%   $
240,087
     
1.2447
%