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Acquisitions (Details) - USD ($)
$ / shares in Units, $ in Thousands
3 Months Ended
Apr. 01, 2018
Mar. 31, 2019
Mar. 31, 2018
Dec. 31, 2018
Consideration paid [Abstract]        
Cash $ 3,164      
Company common stock 3,947      
Total purchase price $ 7,111      
Identifiable assets acquired [Abstract]        
Cash and cash equivalents     $ 2,304  
Securities available for sale     1,959  
Restricted securities, at cost     278  
Loans, net     42,790  
Premises and equipment     1,520  
Other real estate owned     176  
Core deposit intangibles     440  
Other assets     939  
Total assets     50,406  
Identifiable liabilities assumed [Abstract]        
Deposits     44,000  
Other liabilities     324  
Total liabilities     44,324  
Net assets acquired     6,082  
Goodwill   $ 1,650 1,029 $ 1,650
Amortization and Accretion of Premiums and Discounts [Abstract]        
Net impact to income before income taxes   (81) 0  
Fair Value Adjustment [Member]        
Identifiable assets acquired [Abstract]        
Cash and cash equivalents     0  
Securities available for sale     0  
Restricted securities, at cost     0  
Loans, net     (34)  
Premises and equipment     450  
Other real estate owned     (61)  
Core deposit intangibles     440  
Other assets     (116)  
Total assets     679  
Identifiable liabilities assumed [Abstract]        
Deposits     246  
Other liabilities     0  
Total liabilities     $ 246  
Citizens National Bank [Member]        
Business Combination, Description [Abstract]        
Shares issued per acquired share (in shares) 0.1041      
Cash paid per acquired share (in dollars per share)     $ 2.19  
Shares issued for acquisition (in shares) 149,625      
Identifiable assets acquired [Abstract]        
Cash and cash equivalents     $ 2,304  
Securities available for sale     1,959  
Restricted securities, at cost     278  
Loans, net     42,824  
Premises and equipment     1,070  
Other real estate owned     237  
Core deposit intangibles     0  
Other assets     1,055  
Total assets     49,727  
Identifiable liabilities assumed [Abstract]        
Deposits     43,754  
Other liabilities     324  
Total liabilities     44,078  
Purchased Credit-impaired Loans Receivable [Abstract]        
Contractually required principal and interest payments     1,031  
Nonaccretable difference     (211)  
Cash flows expected to be collected     820  
Accretable yield     (110)  
Fair value of purchased credit-impaired loans     710  
Fair value of purchased performing loans     $ 42,100  
Amortization and Accretion of Premiums and Discounts [Abstract]        
Purchased performing loans   56    
Purchased credit-impaired loans   (3)    
Certificate of deposit valuation   39    
Amortization of core deposit intangible   (11)    
Net impact to income before income taxes   $ 81