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Note 8 - Deposits (Tables)
12 Months Ended
Dec. 31, 2019
Notes Tables  
Schedule Of Deposits [Table Text Block]
   
2019
   
2018
 
   
Amount
   
Percent
   
Amount
   
Percent
 
                                 
Non-interest bearing checking
  $
13,664,986
     
5.78
%   $
14,057,719
     
6.29
%
                                 
Interest bearing checking
   
62,473,596
     
26.44
%    
54,292,074
     
24.30
%
Money market
   
22,452,316
     
9.50
%    
25,032,543
     
11.20
%
Savings
   
25,008,034
     
10.58
%    
25,719,932
     
11.51
%
Certificates of deposit
   
112,714,572
     
47.70
%    
104,346,261
     
46.70
%
Interest bearing
   
222,648,518
     
94.22
%    
209,390,810
     
93.71
%
Total
  $
236,313,504
     
100.00
%   $
223,448,529
     
100.00
%
Interest Expense On Deposits [Table Text Block]
   
Years Ended December 31,
 
   
2019
   
2018
 
Money market
  $
60,802
    $
75,107
 
Savings
   
18,742
     
18,854
 
Certificates of deposit
   
2,252,016
     
1,483,780
 
Interest bearing checking
   
491,115
     
184,372
 
    $
2,822,675
    $
1,762,113
 
Schedule Of Maturities Of Certificates Of Deposit [Table Text Block]
2020
  $
56,769,146
 
2021
   
29,877,614
 
2022
   
13,255,921
 
2023
   
5,171,822
 
2024
   
7,640,069
 
    $
112,714,572