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Note 8 - Commitments (Tables)
9 Months Ended
Sep. 30, 2020
Notes Tables  
Schedule of Line of Credit Facilities [Table Text Block]
  

(Amounts in thousands)

 
  

September 30,

  

December 31,

 
  

2020

  

2019

 

Commitments to extend credit:

        

Fixed rate

 $45,921  $19,755 

Variable rate

  89,153   75,147 

Standby letters of credit

  3,920   3,905 
Summary of Overdraft Protection [Table Text Block]
  

(Amounts in thousands)

 
  

September 30,

  

December 31,

 
  

2020

  

2019

 

Overdraft protection available on depositors' accounts

 $8,125  $8,070 

Balance of overdrafts included in loans

  83   130 

Average daily balance of overdrafts

  463   112 

Average daily balance of overdrafts as a percentage of available

  5.70%  1.39%
Schedule of Interest Rate Derivatives [Table Text Block]
  

(Amounts in thousands)

 
  

Notional Amount

     

Fair Value

 
  

September 30,

  

December 31,

     

September 30,

  

December 31,

 
  

2020

  

2019

 

Interest Rate Paid

 

Interest Rate Received

 

2020

  

2019

 

Customer interest rate swap

                   

Maturing in 2020

 $2,236  $2,312 

1 Mo. Libor + Margin

 

Fixed

 $6  $4 

Maturing in 2025

  4,267   4,557 

1 Mo. Libor + Margin

 

Fixed

  321   134 

Maturing in 2026

  1,726   1,822 

1 Mo. Libor + Margin

 

Fixed

  118   19 

Maturing in 2027

  13,032   13,363 

1 Mo. Libor + Margin

 

Fixed

  1,567   636 

Maturing in 2028

  6,040   6,068 

1 Mo. Libor + Margin

 

Fixed

  1,055   548 

Maturing in 2029

  3,659   3,721 

1 Mo. Libor + Margin

 

Fixed

  338   (19)

Maturing in 2030

  5,983   3,649 

1 Mo. Libor + Margin

 

Fixed

  443   44 

Maturing in 2032

  2,551    

1 Mo. Libor + Margin

 

Fixed

  204    

Maturing in 2033

  1,102   1,121 

1 Mo. Libor + Margin

 

Fixed

  187   56 

Total

 $40,596  $36,613     $4,239  $1,422 
                    

Third party interest rate swap

                   

Maturing in 2020

 $2,236  $2,312 

Fixed

 

1 Mo. Libor + Margin

 $(6) $(4)

Maturing in 2025

  4,267   4,557 

Fixed

 

1 Mo. Libor + Margin

  (321)  (134)

Maturing in 2026

  1,726   1,822 

Fixed

 

1 Mo. Libor + Margin

  (118)  (19)

Maturing in 2027

  13,032   13,363 

Fixed

 

1 Mo. Libor + Margin

  (1,567)  (636)

Maturing in 2028

  6,040   6,068 

Fixed

 

1 Mo. Libor + Margin

  (1,055)  (548)

Maturing in 2029

  3,659   3,721 

Fixed

 

1 Mo. Libor + Margin

  (338)  19 

Maturing in 2030

  5,983   3,649 

Fixed

 

1 Mo. Libor + Margin

  (443)  (44)

Maturing in 2032

  2,551    

Fixed

 

1 Mo. Libor + Margin

  (204)   

Maturing in 2033

  1,102   1,121 

Fixed

 

1 Mo. Libor + Margin

  (187)  (56)

Total

 $40,596  $36,613     $(4,239) $(1,422)
Schedule of Derivative Instruments in Statement of Financial Position, Fair Value [Table Text Block]
  

(Amounts in thousands)

 
  

Assets

 

Liabilities

 
  

Balance Sheet Location

 

Fair Value

 

Balance Sheet Location

 

Fair Value

 

September 30, 2020

           

Interest rate derivatives

 

Other assets

 $4,239 

Other liabilities

 $4,239 
            

December 31, 2019

           

Interest rate derivatives

 

Other assets

 $1,422 

Other liabilities

 $1,422