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Note 11 - Deposits (Tables)
12 Months Ended
Dec. 31, 2022
Notes Tables  
Deposits and Weighted Average Interest Rates [Table Text Block]
  

2022

  

2021

 

(Dollars in thousands)

 

Weighted

Average

Rate

  

Amount

  

Percent

of Total

  

Weighted

Average

Rate

  

Amount

  

Percent

of Total

 

Noninterest checking

  0.00

%

 $325,603   33.2

%

  0.00

%

 $344,404   36.2

%

Interest checking

  0.38   147,497   15.0   0.12   151,476   15.9 

Savings accounts

  0.08   123,389   12.6   0.06   119,517   12.6 

Money market accounts

  0.73   253,498   25.8   0.21   249,089   26.2 
       849,987   86.6       864,486   90.9 

Certificates by rate:

                        
0-0.99%      53,645   5.4       74,481   7.8 
1-1.99%      8,049   0.8       4,357   0.5 
2-2.99%      3,521   0.4       6,316   0.7 
3-3.99%      5,493   0.6       1,026   0.1 
4-4.99%      61,231   6.2       0   0.0 

Total certificates

  2.59   131,939   13.4   0.53   86,180   9.1 

Total deposits

  0.60  $981,926   100.0

%

  0.13  $950,666   100.0

%

                         
Scheduled Maturities of Certificates of Deposit [Table Text Block]
  

2022

  

2021

 

(Dollars in thousands)

 

Amount

  

Weighted

Average

Rate

  

Amount

  

Weighted

Average

Rate

 

Remaining term to maturity

                

1-6 months

 $26,310   0.34

%

 $35,007   0.68

%

7-12 months

  46,427   2.58   27,280   0.40 

13-36 months

  57,664   3.59   21,769   0.46 

Over 36 months

  1,538   0.59   2,124   0.66 

Total

 $131,939   2.59  $86,180   0.53 
                 
Schedule of Interest Expense Domestic Deposit Liabilities [Table Text Block]

(Dollars in thousands)

 

2022

  

2021

 

Checking accounts

 $220   182 

Savings accounts

  75   69 

Money market accounts

  882   557 

Certificate accounts

  555   745 

Total

 $1,732   1,553