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Note 11 - Other Borrowings (Tables)
3 Months Ended
Mar. 31, 2015
Disclosure Text Block [Abstract]  
Schedule of Debt [Table Text Block]
   

March 31, 2015

   

December 31, 2014

 
                 

Federal Home Loan Bank advances with rates ranging from 0.20% to 7.75% maturing through July 1, 2024

  $ 38,936     $ 43,095  

Line of credit with a bank, $14.75 million total credit line, floating rate of 1.95% above the three-month LIBOR rate, reset quarterly, interest payments due quarterly, maturing May 30, 2016

    9,100       8,300  

Term note payable to a bank, floating rate of 1.95% above the three-month LIBOR rate, reset quarterly, principal and interest payments due quarterly, maturing May 30, 2019

    9,606       9,863  
                 

Total

  $ 57,642     $ 61,258  
Contractual Obligation, Fiscal Year Maturity Schedule [Table Text Block]
   

Weighted

         
   

Average

         
   

Rate

   

Amount

 
                 

Within one year

    0.61 %   $ 15,099  

One to two years

    1.80       15,651  

Two to three years

    2.33       1,475  

Three to four years

    2.10       6,397  

Four to five years

    1.99       11,865  

Over five years

    2.66       7,155  
                 

Total

    1.68 %   $ 57,642