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Note 5 - Deposits
9 Months Ended
Sep. 30, 2015
Disclosure Text Block [Abstract]  
Deposit Liabilities Disclosures [Text Block]

5.     DEPOSITS


Our total deposits at September 30, 2015 totaled $2.25 billion, a decrease of $22.8 million, or 1.0%, from December 31, 2014. The components of our outstanding balances at September 30, 2015 and December 31, 2014, and percentage change in deposits from the end of 2014 to the end of the third quarter of 2015, are as follows:


    September 30, 2015     December 30, 2014    

Percent

Increase

 
    Balance     %     Balance     %     (Decrease)  
                                         

Noninterest-bearing checking

  $ 619,125,000       27.5 %   $ 558,738,000       24.5 %     10.8 %
Interest-bearing checking     389,978,000       17.3       413,382,000       18.2       (5.7 )

Money market

    283,707,000       12.6       235,587,000       10.3       20.4  
Savings     342,902,000       15.2       330,459,000       14.5       3.8  

Time, under $100,000

    162,729,000       7.2       181,026,000       8.0       (10.1 )
Time, $100,000 and over     333,226,000       14.8       382,120,000       16.8       (12.8 )
      2,131,667,000       94.6       2,101,312,000       92.3       1.4  
                                         

Out-of-area time, under $100,000

    298,000       <0.1       2,422,000       0.1       (87.7 )

Out-of-area time, $100,000 and over

    122,164,000       5.4       173,181,000       7.6       (29.5 )
      122,462,000       5.4       175,603,000       7.7       (30.2 )
                                         

Total deposits

  $ 2,254,129,000       100.0 %   $ 2,276,915,000       100.0 %     (1.0% )