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Note 16 - Fair Value Measurements (Tables)
3 Months Ended
Mar. 31, 2025
Notes Tables  
Fair Value, Assets Measured on Recurring and Nonrecurring Basis [Table Text Block]
      

Fair Value Measurements at the End of

 
      

the Reporting Period Using

 
      

Quoted Prices

  

Significant

     
      

in Active

  

Other

  

Significant

 
      

Markets for

  

Observable

  

Unobservable

 
  

Fair Value

  

Identical Assets

  

Inputs

  

Inputs

 
  

Measurements

  

(Level 1)

  

(Level 2)

  

(Level 3)

 

March 31, 2025

                

Recurring fair value measurements:

                

Equity securities with a readily determinable fair value:

                

Equity securities

 $94   94       

Mutual funds measured at net asset value

  1,293   1,293       
                 

Debt securities, available-for-sale:

                

U.S. Treasury notes

  63,924   63,924       

U.S. Agency notes

  78,384      78,384    

Corporate bonds

  7,793      7,793    

U.S. Agency mortgage-backed securities

  67,850      67,850    

Municipal securities:

                

Non-taxable

  3,996      3,996    

Taxable

  33,944      33,944    

Total recurring fair value measurements

 $257,278   65,311   191,967    
                 

Nonrecurring fair value measurements:

                

Individually evaluated collateral dependent loans

 $1,915         1,915 

Total nonrecurring fair value measurements

 $1,915         1,915 
                 

December 31, 2024

                

Recurring fair value measurements:

                

Equity securities with a readily determinable fair value:

                

Equity securities

 $98   98       

Mutual funds measured at net asset value

  1,265   1,265       
                 

Debt securities, available-for-sale:

                

U.S. Treasury notes

  66,180   66,180       

U.S. Agency notes

  77,517      77,517    

Corporate bonds

  7,756      7,756    

U.S. Agency mortgage-backed securities

  69,546      69,546    

Municipal securities:

                

Non-taxable

  3,982      3,982    

Taxable

  33,346      33,346    

Total recurring fair value measurements

 $259,690   67,543   192,147    
                 

Nonrecurring fair value measurements:

                

Individually evaluated collateral dependent loans

 $1,816         1,816 

Total nonrecurring fair value measurements

 $1,816         1,816 
Fair Value, Assets and Liabilities Measured on Nonrecurring Basis, Valuation Techniques [Table Text Block]
         

Range

     

Valuation

 

Unobservable

     

Weighted

  

Fair Value

 

Technique

 

Inputs

 

High

 

Low

 

Average

March 31, 2025

             

Individually evaluated collateral dependent loans

 $1,915 

Estimated sales price

 

Adjustments for comparable properties, discounts to reflect current market conditions

 

Not applicable

    
              

December 31, 2024

             

Individually evaluated collateral dependent loans

 $1,816 

Estimated sales price

 

Adjustments for comparable properties, discounts to reflect current market conditions

 

Not applicable

    
Fair Value, by Balance Sheet Grouping [Table Text Block]
          

Fair Value Measurements at the End of

 
          

the Reporting Period Using

 
          

Quoted

         
          

Prices

  

Significant

     
          

in Active

  

Other

  

Significant

 
          

Markets for

  

Observable

  

Unobservable

 
  

Carrying

  

Fair

  

Identical Assets

  

Inputs

  

Inputs

 
  

Amount

  

Value

  

(Level 1)

  

(Level 2)

  

(Level 3)

 

March 31, 2025

                    

FINANCIAL ASSETS:

                    

Cash and cash equivalents

 $37,670   37,670   37,670       

Debt securities, held-to-maturity, net

  17,585   16,202      16,202    

Loans held-for-sale

  6,098   6,098      6,098    

Loans, net

  1,705,506   1,625,293         1,625,293 

Accrued interest receivable

  9,013   9,013      9,013    

Lender risk account

  6,214   6,214         6,214 
                     

FINANCIAL LIABILITIES:

                    

Deposits

  1,921,649   1,927,673   1,439,276   488,397    

Long-term debt

  104,637   106,866      106,866    

Accrued interest payable

  1,825   1,825      1,825    
                     

December 31, 2024

                    

FINANCIAL ASSETS:

                    

Cash and cash equivalents

 $35,744   35,744   35,744       

Debt securities, held-to-maturity, net

  16,324   14,929      14,929    

Loans held-for-sale

  5,556   5,556      5,556    

Loans, net

  1,709,811   1,659,244         1,659,244 

Accrued interest receivable

  8,701   8,701      8,701    

Lender risk account

  6,033   6,033         6,033 
                     

FINANCIAL LIABILITIES:

                    

Deposits

  1,878,292   1,887,331   1,367,709   519,622    

Long-term debt

  155,153   156,523      156,523    

Accrued interest payable

  2,482   2,482      2,482