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Note 10 - Deposits
12 Months Ended
Dec. 31, 2016
Notes to Financial Statements  
Deposit Liabilities Disclosures [Text Block]
10.
DEPOSITS
 
The following table presents the distribution of the Bank’s deposit accounts as of
December
31,
2016
and
2015.
 
   
12/31/2016
   
12/31/2015
 
Demand accounts:
 
(In thousands)
 
Non-interest bearing checking
  $
196,917
    $
169,546
 
Interest bearing checking
   
189,401
     
173,934
 
Money market
   
82,698
     
72,442
 
Savings accounts
   
145,032
     
135,370
 
Certificate accounts
   
256,552
     
260,030
 
Total deposits
  $
870,600
    $
811,322
 
 
At
December
31,
2016,
the scheduled maturities of time deposits were as follows:
 
   
$250,000 or Less
   
More than $250,000
   
Total
 
   
(In thousands)
 
Three months or less
  $
17,487
    $
9,207
    $
26,694
 
Over three months through one year
   
104,980
     
13,528
     
118,508
 
Over one year through three years
   
78,254
     
11,694
     
89,948
 
Over three years
   
16,631
     
4,771
     
21,402
 
Total time deposits
  $
217,352
    $
39,200
    $
256,552
 
 
The aggregate amount of time deposits with balances of more than
$250,000
was
$39,199,506
and
$35,556,760
at
December
31,
2016
and
2015,
respectively.