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Note 5 - Revenue From Contracts With Customers (Tables)
6 Months Ended
Jun. 30, 2018
Notes Tables  
Disaggregation of Revenue [Table Text Block]
   
Three Months Ended
June 30,
   
Six Months Ended
June 30,
 
(In thousands)
 
2018
   
2017
   
2018
   
2017
 
Service charges and fees on deposits
                               
Overdraft fees
  $
968
    $
969
    $
1,924
    $
1,896
 
Dormant account fees
   
574
     
659
     
1,167
     
1,324
 
Service charges on checking and savings accounts
   
304
     
328
     
618
     
638
 
Other
   
51
     
56
     
100
     
112
 
Allotment processing fees
   
677
     
651
     
1,397
     
1,366
 
Other service charges, commissions, and fees
                               
Interchange fees
   
917
     
808
     
1,744
     
1,589
 
Other
1
   
573
     
520
     
1,118
     
1,111
 
Trust income
   
695
     
626
     
1,484
     
1,330
 
Net loss on sales of available for sale investment securities
2
   
-
     
(1
)    
-
     
(10
)
Net gain on sales of equity investment securities
2
   
808
     
-
     
808
     
-
 
Gain on sale of mortgage loans, net
2
   
104
     
189
     
199
     
343
 
Income from company-owned life insurance
2
   
213
     
221
     
506
     
456
 
Other
   
89
     
76
     
109
     
198
 
Total noninterest income
  $
5,973
    $
5,102
    $
11,174
    $
10,353