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Acquisitions (Details) - USD ($)
$ / shares in Units, $ in Thousands
12 Months Ended
Apr. 01, 2018
Dec. 31, 2019
Dec. 31, 2018
Mar. 31, 2018
Consideration paid [Abstract]        
Cash $ 3,164 $ 0 $ 3,164  
Old Point common stock 3,947   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 1,650 1,029
Amortization and Accretion of Premiums and Discounts [Abstract]        
Net impact to income before taxes   (239) (341)  
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   142 181  
Purchased credit-impaired loans   12 77  
Certificate of deposit valuation   129 116  
Amortization of core deposit intangible   (44) (33)  
Net impact to income before taxes   $ 239 $ 341