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Note 21 - Fair Value of Financial Instruments (Tables)
12 Months Ended
Dec. 31, 2016
Notes Tables  
Fair Value, by Balance Sheet Grouping [Table Text Block]
 
Level in
 
December 31, 2016
   
December 31, 2015
 
 
Fair Value
 
Estimated
   
Carrying
   
Estimated
   
Carrying
 
 
Hierarchy
 
Fair Value
   
Amount
   
Fair Value
   
Amount
 
     
(In thousands)
 
Financial assets:
                                 
Cash and due from banks
Level 1
  $
22,855
    $
22,855
    $
19,426
    $
19,426
 
Interest-bearing deposits in other banks
Level 1
   
23,321
     
23,321
     
18,566
     
18,566
 
Securities available for sale
Level 1
   
16,995
     
16,995
     
31,385
     
31,385
 
Securities available for sale
Level 2
   
175,611
     
175,611
     
216,910
     
216,910
 
Securities held to maturity
Level 2
   
511
     
510
     
510
     
508
 
Loans held for sale
Level 2
   
5,099
     
5,099
     
3,944
     
3,944
 
Loans and leases HFI, net, less impaired loans
Level 2
   
678,911
     
681,239
     
586,494
     
583,946
 
Stock in FHLB of Atlanta
Level 2
   
1,574
     
1,574
     
2,369
     
2,369
 
Accrued interest receivable
Level 2
   
3,526
     
3,526
     
2,875
     
2,875
 
Interest rate swap
Level 2
   
121
     
121
     
(394
)    
(394
)
Bank-owned life insurance
Level 2
   
18,080
     
18,080
     
15,635
     
15,635
 
Impaired loans HFI, net
Level 3
   
10,730
     
10,730
     
15,202
     
15,202
 
Mortgage servicing rights
Level 3
   
3,128
     
2,149
     
2,301
     
1,266
 
Financial liabilities:
                                 
Deposits
Level 2
  $
869,591
    $
870,600
    $
811,089
    $
811,322
 
Junior subordinated debentures
Level 2
   
10,310
     
10,310
     
10,310
     
10,310