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Note 5 - Deposits
3 Months Ended
Mar. 31, 2019
Notes to Financial Statements  
Deposit Liabilities Disclosures [Text Block]
5.
    
DEPOSITS
 
Our total deposits at
March 31, 2019
totaled
$2.61
billion, an increase of
$147
million, or
6.0%,
from
December 
31,
2018.
The components of our outstanding balances at
March 31, 2019
and
December 31, 2018,
and percentage change in deposits from the end of
2018
to the end of the
first
quarter of
2019,
are as follows:
 
                                   
Percent
 
   
March 31, 2019
   
December 31, 2018
   
Increase
 
   
Balance
   
%
   
Balance
   
%
   
(Decrease)
 
                                         
Noninterest-bearing checking
  $
857,734,000
     
32.9
%
  $
889,784,000
     
36.1
%
   
(3.6
%)
Interest-bearing checking
   
324,802,000
     
12.4
     
339,089,000
     
13.8
     
(4.2
)
Money market
   
484,035,000
     
18.5
     
434,333,000
     
17.6
     
11.4
 
Savings
   
295,383,000
     
11.3
     
317,014,000
     
12.9
     
(6.8
)
Time, under $100,000
   
198,243,000
     
7.6
     
160,092,000
     
6.5
     
23.8
 
Time, $100,000 and over
   
265,242,000
     
10.2
     
210,164,000
     
8.5
     
26.2
 
Total local deposits
   
2,425,439,000
     
92.9
     
2,350,476,000
     
95.4
     
3.2
 
                                         
Out-of-area time, under $100,000
   
0
   
NA
     
0
   
NA
   
NA
 
Out-of-area time, $100,000 and over
   
185,535,000
     
7.1
     
113,232,000
     
4.6
     
63.9
 
Total out-of-area deposits
   
185,535,000
     
7.1
     
113,232,000
     
4.6
     
63.9
 
                                         
Total deposits
  $
2,610,974,000
     
100.0
%
  $
2,463,708,000
     
100.0
%
   
6.0
%
 
Time deposits of more than
$250,000
totaled
$323
million and
$232
million at
March 31, 2019
and
December 31, 2018,
respectively.