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Note 9 - Fair Value Disclosure (Tables)
9 Months Ended
Sep. 30, 2017
Notes Tables  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block]
        (Dollars in thousands)
    Fair Value
Hierarchy
  September 30,
2017
  December 31,
2016
Available for Sales Securities:                        
U.S. Government Agencies    
Level II
    $
58,380
    $
66,156
 
Obligations of States and Political Subdivisions    
Level II
     
37,808
     
35,735
 
Mortgage-Backed Securities - Government-Sponsored Enterprises    
Level II
     
17,859
     
2,619
 
Equity Securities - Mutual Funds    
Level I
     
510
     
507
 
Equity Securities - Other    
Level I
     
1,332
     
1,191
 
Total Available for Sale Securities    
 
    $
115,889
    $
106,208
 
Fair Value Inputs, Assets, Quantitative Information [Table Text Block]
        (Dollars in thousands)                    
        Fair Value at           Significant    
Financial Asset   Fair Value
Hierarchy
  September 30,
2017
  December 31,
2016
  Valuation
Techniques
  Significant
Unobservable Inputs
  Unobservable
Input Value
   
Impaired Loans  
 Level III
  $
2,271
    $
2,497
   
Market Comparable Properties
 
Marketability Discount
 
10%
to
30%
(1)
 
OREO  
 Level III
   
169
     
-
   
Market Comparable Properties
 
Marketability Discount
 
10%
to
50%
(1)
 
Fair Value, by Balance Sheet Grouping [Table Text Block]
        (Dollars in thousands)
        September 30, 2017   December 31, 2016
    Fair Value
Hierarchy
  Carrying
Value
  Fair
Value
  Carrying
Value
  Fair
Value
Financial Assets:                                    
Cash and Due From Banks:                                    
Interest Bearing  
Level I
  $
31,979
    $
31,979
    $
7,699
    $
7,699
 
Non-Interest Bearing  
Level I
   
11,766
     
11,766
     
6,583
     
6,583
 
Investment Securities:                                    
Available for Sale  
See Above
   
115,889
     
115,889
     
106,208
     
106,208
 
Loans, Net  
Level III
   
695,718
     
706,433
     
674,094
     
684,777
 
Restricted Stock  
Level II
   
3,712
     
3,712
     
3,665
     
3,665
 
Bank-Owned Life Insurance  
Level II
   
19,035
     
19,035
     
18,687
     
18,687
 
Accrued Interest Receivable  
Level II
   
2,572
     
2,572
     
2,441
     
2,441
 
                                     
Financial Liabilities:                                    
Deposits  
Level II
   
762,374
     
738,836
     
698,218
     
697,806
 
Short-term Borrowings  
Level II
   
24,662
     
24,662
     
27,027
     
27,027
 
Other Borrowed Funds  
Level II
   
24,500
     
24,671
     
28,000
     
28,098
 
Accrued Interest Payable  
Level II
   
413
     
413
     
334
     
334