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Capital Notes
9 Months Ended
Sep. 30, 2020
Capital Notes [Abstract]  
Capital Notes



Note 12 – Capital Notes



On April 13, 2020, the Company commenced a private placement of unregistered debt securities (the “2020 Offering”).  In the 2020 Offering, the Company sold and closed $10,050,000 in principal of notes (the “2020 Notes”) during the 2nd and 3rd quarters of 2020.  The 2020 Offering officially ended on July 8, 2020.  The 2020 Notes will bear interest at the rate of 3.25% per year with interest payable quarterly in arrears.  The 2020 Notes will mature on September 30, 2025 and are subject to full or partial repayment on or after September 30, 2021.  The balance of the 2020 Notes on the September 30, 2020 consolidated balance sheet is net of unamortized issuance costs



Note 12 – Capital Notes (continued)



On September 24, 2020 the Bank used $5,000,000 of the proceeds for the payment of principal of the Company’s previously outstanding 4.00% notes that were issued in 2017.  The Company intends to use the balance of the proceeds from the 2020 Offering for general corporate purposes in the discretion of Company’s management such as payment of interest on the 2020 Notes and as a contribution of additional capital to the Bank.