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Note 11 - Fair Value of Financial Instruments (Tables)
3 Months Ended
Mar. 31, 2015
Fair Value Disclosures [Abstract]  
Schedule of Financial Instruments [Table Text Block]
 

Level in

 

March 31, 2015

   

December 31, 2014

 
 

Fair Value

 

Estimated

   

Carrying

   

Estimated

   

Carrying

 
 

Hierarchy

 

Fair Value

   

Amount

   

Fair Value

   

Amount

 

Financial assets:

   

(In thousands)

 

Cash and due from banks

Level 1

  $ 22,744     $ 22,744     $ 23,281     $ 23,281  

Interest-bearing deposits in other banks

Level 1

    36,897       36,897       32,836       32,836  

Securities available for sale

Level 1

    31,659       31,659       31,232       31,232  

Securities available for sale

Level 2

    240,824       240,824       261,067       261,067  

Securities held to maturity

Level 2

    514       508       512       507  

Loans held for sale

Level 2

    7,947       7,947       4,793       4,793  

Loans and leases HFI, net, less impaired loans

Level 2

    470,133       463,089       460,062       453,436  

Stock in FHLB of Atlanta

Level 2

    797       797       607       607  

Accrued interest receivable

Level 2

    2,742       2,742       2,852       2,852  

Interest rate swap

Level 2

    (509 )     (509 )     (405 )     (405 )

Bank-owned life insurance

Level 2

    15,252       15,252       15,125       15,125  

Impaired loans HFI, net

Level 3

    18,384       18,384       19,480       19,480  

Mortgage servicing rights

Level 3

    2,229       1,160       2,347       1,178  
                                   

Financial liabilities:

                                 

Deposits

Level 2

  $ 784,257     $ 784,025     $ 788,488       788,280  

Junior subordinated debentures

Level 2

    10,310       10,310       10,310       10,310