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Note 4 - Trading Account Assets (Tables)
6 Months Ended
Jun. 30, 2015
Note 4 - Trading Account Assets (Tables) [Line Items]  
Trading Securities [Table Text Block]
   

June 30,

   

December 31,

 
   

2015

   

2014

 

Municipal bonds

  $ 8,148     $ 4,116  

Insured bank deposits

    1,942       1,397  

Total trading account assets

  $ 10,090     $ 5,513  
Gain (Loss) on Investments [Table Text Block]
   

For the three months ended June 30,

   

For the six months ended June 30,

 
   

2015

   

2014

   

2015

   

2014

 

Realized gains (losses), net

  $ (23 )   $ 138     $ 24     $ 316  

Unrealized gains (losses), net due to the change in fair value relative to assets held at end of period

    (11 )     37       47       30  

Total trading account income (loss), net

  $ (34 )   $ 175     $ 71     $ 346  
Schedule of Available-for-sale Securities Reconciliation [Table Text Block]
   

June 30, 2015

 
   

Amortized cost

   

Gross unrealized gains

   

Gross unrealized losses

   

Fair value

 
                                 

U.S. agency

  $ 3,160     $ 43     $ -     $ 3,203  

State and municipal

    6,536       55       (114 )     6,477  

Collateralized mortgage obligations (federal agencies)

    87,521       163       (971 )     86,713  

Other mortgage-backed (federal agencies)

    75,645       662       (349 )     75,958  

SBA loan-backed (federal agency)

    30,524       228       (55 )     30,697  

Total investment securities available for sale

  $ 203,386     $ 1,151     $ (1,489 )   $ 203,048  
   

December 31, 2014

 
   

Amortized cost

   

Gross unrealized gains

   

Gross unrealized losses

   

Fair value

 
                                 

U.S. agency

  $ 3,930     $ 35     $ -     $ 3,965  

State and municipal

    6,665       84       (17 )     6,732  

Collateralized mortgage obligations (federal agencies)

    89,311       13       (1,550 )     87,774  

Other mortgage-backed (federal agencies)

    78,532       411       (440 )     78,503  

SBA loan-backed (federal agency)

    34,394       210       (67 )     34,537  

Total investment securities available for sale

  $ 212,832     $ 753     $ (2,074 )   $ 211,511  
Available-for-sale Securities, Continuous Unrealized Loss Position, Fair Value [Table Text Block]
   

June 30, 2015

 
   

Less than 12 months

   

12 months or longer

   

Total

 
   

#

   

Fair value

   

Gross unrealized losses

   

#

   

Fair value

   

Gross unrealized losses

   

#

   

Fair value

   

Gross unrealized losses

 

State and municipal

    7     $ 4,090     $ 114       -     $ -     $ -       7     $ 4,090     $ 114  

Collateralized mortgage obligations (federal agencies)

    5       7,544       88       9       36,461       883       14       44,005       971  

Other mortgage-backed (federal agencies)

    6       6,299       72       10       17,275       277       16       23,574       349  

SBA loan-backed (federal agency)

    3       5,112       12       5       9,815       43       8       14,927       55  

Total

    21     $ 23,045     $ 286       24     $ 63,551     $ 1,203       45     $ 86,596     $ 1,489  
   

December 31, 2014

 
   

Less than 12 months

   

12 months or longer

   

Total

 
   

#

   

Fair value

   

Gross unrealized losses

   

#

   

Fair value

   

Gross unrealized losses

   

#

   

Fair value

   

Gross unrealized losses

 

State and municipal

    3     $ 1,641     $ 7       1     $ 1,062     $ 10       4     $ 2,703     $ 17  

Collateralized mortgage obligations (federal agencies)

    11       32,532       192       10       52,924       1,358       21       85,456       1,550  

Other mortgage-backed (federal agencies)

    10       14,889       119       10       18,979       321       20       33,868       440  

SBA loan-backed (federal agency)

    3       3,122       10       6       14,850       57       9       17,972       67  

Total

    27     $ 52,184     $ 328       27     $ 87,815     $ 1,746       54     $ 139,999     $ 2,074  
Available-for-sale Securities, Credit Rating by Moody's [Table Text Block]
   

Moody's Ratings

 

Aaa

    8

%

Aa1 - Aa3

    42  

A1

    -  

Not rated

    50  

Total

    100

%

    Standard and Poor's Ratings  
AAA     17 %
AA+ - AA-     57  
A+     2  
Not rated     24  
Total     100 %
Investments Classified by Contractual Maturity Date [Table Text Block]
   

Amortized cost

   

Fair value

 

Due in one year or less

  $ -     $ -  

Due after one year through five years

    2,013       2,034  

Due after five years through ten years

    1,147       1,169  

Due after ten years

    -       -  

U.S. agency

    3,160       3,203  
                 

Due in one year or less

    301       302  

Due after one year through five years

    2,703       2,728  

Due after five years through ten years

    3,532       3,447  

Due after ten years

    -       -  

State and municipal

    6,536       6,477  
                 

Due in one year or less

    4,304       4,158  

Due after one year through five years

    16,441       16,280  

Due after five years through ten years

    66,776       66,275  

Due after ten years

    -       -  

Collateralized mortgage obligations (federal agencies)

    87,521       86,713  
                 

Due in one year or less

    -       -  

Due after one year through five years

    37,324       37,680  

Due after five years through ten years

    20,590       20,629  

Due after ten years

    17,731       17,649  

Other mortgage-backed (federal agencies)

    75,645       75,958  
                 

Due in one year or less

    -       -  

Due after one year through five years

    26,856       27,030  

Due after five years through ten years

    3,668       3,667  

Due after ten years

    -       -  

SBA loan-backed (federal agency)

    30,524       30,697  
                 

Due in one year or less

    4,605       4,460  

Due after one year through five years

    85,337       85,752  

Due after five years through ten years

    95,713       95,187  

Due after ten years

    17,731       17,649  

Total investment securities available for sale

  $ 203,386     $ 203,048  
Schedule of Financial Instruments Owned and Pledged as Collateral [Table Text Block]
   

June 30,

   

December 31,

 
   

2015

   

2014

 

Municipal and other secured deposits

  $ 84,732     $ 84,255  

Retail repurchase agreements

    24,873       36,629  

Federal Reserve line of credit

    1,313       1,352  

Correspondent bank lines of credit

    10,906       10,959  

Total investment securities available for sale pledged

  $ 121,824     $ 133,195  
Comprehensive Income (Loss) [Table Text Block]
   

For the three months ended June 30,

   

For the six months ended June 30,

 
   

2015

   

2014

   

2015

   

2014

 

Realized gains

  $ 24     $ -     $ 53     $ 125  

Realized losses

    -       -       -       (40 )

Total investment securities gains, net

  $ 24     $ -     $ 53     $ 85  
Trading, Municipal Bonds [Member]  
Note 4 - Trading Account Assets (Tables) [Line Items]  
Financing Receivable Credit Quality Indicators [Table Text Block]
   

Moody's Ratings

 
Aaa     8

%

Aa1 - Aa3     60  
A1 - A3     22  
Not rated     10  
Total     100

%

    Standard and Poor's Ratings  
AAA     14 %
AA+ - AA-     57  
A+ - A-     18  
Not rated     11  
Total     100 %