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Note 10 - Deposits
12 Months Ended
Dec. 31, 2018
Notes to Financial Statements  
Deposit Liabilities Disclosures [Text Block]
10.
DEPOSITS
 
As of
December
 
31,
2018,
the scheduled maturities of the Bank’s time deposits were as follows:
 
   
(Dollars in Thousands)
2019
   $
177,338
 
2020
   
44,251
 
2021
   
21,388
 
2022
   
11,867
 
2023
   
7,652
 
Total
   $
262,496
 
 
Total time deposits greater than
$250
 thousand totaled
$70.7
million and
$28.1
million as of
December 31, 2018
and
2017,
respectively. In addition, the Company held brokered certificates of deposit totaling
$33.3
million and
$8.9
million as of
December 31, 2018
and
2017,
respectively, that were included in total deposits. Deposits from related parties held by the Company amounted to
$4.9
million a
nd
$4.5
million at
December 31, 2018
and
2017,
respectively.