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Note 5 - Deposits (Tables)
9 Months Ended
Sep. 30, 2018
Notes Tables  
Summary of Deposits and Percentage Change in Deposits [Table Text Block]
   
September 30, 2018
   
December 31, 2017
   
Percent
Increase
 
   
Balance
   
%
   
Balance
   
%
   
(Decrease)
 
Noninterest-bearing checking
  $
879,442,000
   
35.1%
    $
866,380,000
   
34.3%
   
1.5%
 
Interest-bearing checking
   
350,056,000
   
14.0
     
387,758,000
   
15.4
   
(9.7)
 
Money market
   
504,741,000
   
20.1
     
427,119,000
   
16.9
   
18.2
 
Savings
   
311,566,000
   
12.4
     
327,530,000
   
13.0
   
(4.9)
 
Time, under $100,000
   
162,074,000
   
6.5
     
152,294,000
   
6.0
   
6.4
 
Time, $100,000 and over
   
219,713,000
   
8.7
     
258,626,000
   
10.3
   
(15.0)
 
Total local deposits
   
2,427,592,000
   
96.8
     
2,419,707,000
   
95.9
   
0.3
 
                                   
Out-of-area time, under $100,000
   
0
   
NA
     
0
   
NA
   
NA
 
Out-of-area time, $100,000 and over
   
81,218,000
   
3.2
     
102,658,000
   
4.1
   
(20.9)
 
Total out-of-area deposits
   
81,218,000
   
3.2
     
102,658,000
   
4.1
   
(20.9)
 
                                   
Total deposits
  $
2,508,810,000
   
100.0%
    $
2,522,365,000
   
100.0%
   
(0.5%)