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Note 9 - Deposits
12 Months Ended
Dec. 31, 2017
Notes to Financial Statements  
Deposit Liabilities Disclosures [Text Block]
(
9
) Deposits
 
The composition of interest bearing deposits follows:
 
   
December 31,
 
(In thousands)
 
2017
   
201
6
 
Interest bearing demand
  $
833,450
    $
768,139
 
Savings
   
152,348
     
140,030
 
Money market
   
682,226
     
682,421
 
Time deposits of
more than $250,000
   
38,439
     
40,427
 
Other time deposits
   
197,135
     
209,375
 
                 
Total interest bearing deposits
  $
1,903,598
    $
1,840,392
 
 
 
Interest expense related to certificates of deposit and other time deposits in denominations of
$250
thousand or more was
$161
thousand,
$231
thousand and
$313
thousand, respectively, for the years ended
December 
31,
2017,
2016
and
2015.
 
At
December
 
31,
2017,
the scheduled maturities of time deposits were as follows (in thousands):
 
2018
  $
166,219
 
2019
   
42,857
 
2020
   
13,100
 
2021
   
7,646
 
2022 and thereafter
   
5,752
 
         
Total time deposits
  $
235,574
 
 
Deposits of directors and their associates, including
deposits of companies for which directors are principal owners, and executive officers were
$28.5
million and
$30.5
million at
December 31, 2017
and
2016,
respectively.
 
At
December 31,
201
7
and
2016,
Bancorp had
$614
thousand and
$449
thousand, respectively, of deposits accounts in overdraft status and thus have been reclassified to loans on the accompanying consolidated balance sheets.