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Note 9 - Securities Sold Under Agreements to Repurchase and Other Long-term Borrowings (Tables)
12 Months Ended
Dec. 31, 2016
Notes Tables  
Schedule of Long-term Debt Instruments [Table Text Block]
December 31, (Dollars in thousands)
 
2016
   
Average
Rate
   
2015
   
Average
Rate
 
Federal Home Loan Bank advances
  $
18,646
     
3.97
%   $
18,806
     
3.98
%
Subordinated notes payable
   
33,506
     
2.30
     
48,970
     
1.94
 
Securities sold under agreements to repurchase
   
1,285
     
0.75
     
101,474
     
3.90
 
Total long-term borrowings
  $
53,437
     
2.84
%   $
169,250
     
3.34
%
Schedule of Maturities of Long-term Debt [Table Text Block]
(In thousands)
 
Amount
 
2017
  $
15,258
 
2018
   
3,251
 
2019
   
786
 
2020
   
636
 
2021
   
-
 
Thereafter
   
33,506
 
Total
  $
53,437
 
Schedule of Repurchase Agreements [Table Text Block]
   
Remaining Contractual Maturity of the Agreements
 
December 31, 2016 (In thousands)
 
Overnight/

Continuous
   
Less Than
30 Days
   
30-89

Days
   
90 Days to
One Year
   
Over One
Year to
Four Years
   
Total
 
U.S. government agency securities
  $
33,682
    $
1,203
    $
-
    $
458
    $
1,027
    $
36,370
 
Total
  $
33,682
    $
1,203
    $
-
    $
458
    $
1,027
    $
36,370
 
   
Remaining Contractual Maturity of the Agreements
 
December 31, 2015 (In thousands)
 
Overnight/

Continuous
   
Less Than
30 Days
   
30-89

Days
   
90 Days to
One Year
   
Over One
Year to
Four Years
   
Total
 
U.S. government agency securities
  $
33,151
    $
1,202
    $
-
    $
716
    $
100,758
    $
135,827
 
Total
  $
33,151
    $
1,202
    $
-
    $
716
    $
100,758
    $
135,827