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Note 10 - Fair Values of Financial Instruments (Tables)
9 Months Ended
Sep. 30, 2017
Notes Tables  
Fair Value, by Balance Sheet Grouping [Table Text Block]
   
Level in
   
September
30, 2017
   
December 31, 201
6
 
   
Fair Value
Hierarchy
   
Carrying
Values
   
Fair
Values
   
Carrying
Values
   
Fair
Values
 
                                         
Fina
ncial assets:
                                       
Cash
 
Level 1
    $
11,389
    $
11,389
    $
11,493
    $
11,493
 
Cash equivalents
 
Level 2
     
165,662
     
165,662
     
172,103
     
172,103
 
Securities available for sale
 
(1)
     
330,090
     
330,090
     
328,060
     
328,060
 
FHLBI stock
 
(2)
     
11,036
     
11,036
     
8,026
     
8,026
 
Loans, net
 
Level 3
     
2,530,967
     
2,513,324
     
2,359,624
     
2,353,276
 
Loans held for sale
 
Level 2
     
4,112
     
4,112
     
1,035
     
1,035
 
Mortgage servicing rights
 
Level 2
     
5,195
     
8,076
     
5,544
     
7,997
 
Accrued interest receivable
 
Level 2
     
9,118
     
9,118
     
7,714
     
7,714
 
                                         
Fina
ncial liabilities:
                                       
Deposit
s
 
Level 2
     
2,489,043
     
2,375,476
     
2,374,985
     
2,286,548
 
Repurchase agreements
 
Level 2
     
122,280
     
122,280
     
131,710
     
131,710
 
FHLBI advances
 
Level 2
     
220,000
     
221,103
     
175,000
     
174,734
 
Subordinated debentures
 
Level 2
     
45,347
     
45,390
     
44,835
     
45,220
 
Accrued interest payable
 
Level 2
     
1,823
     
1,823
     
1,592
     
1,592
 
Interest rate swap
 
(1)
     
15
     
15
     
84
     
84