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Note 9 - Fair Value Disclosure (Tables)
3 Months Ended
Mar. 31, 2016
Notes Tables  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block]
        (Dollars in thousands)
    Valuation
Technique
  March 31,
2016
  December 31,
2015
Available for Sales Securities:                    
U.S. Government Agencies   Level II   $ 48,599     $ 51,188  
Obligations of States and Political Subdivisions   Level II     40,642       40,074  
Mortgage-Backed Securities - Government-Sponsored Enterprises   Level II     3,233       3,403  
Equity Securities - Mutual Funds   Level I     521       513  
Equity Securities - Other   Level I     668       685  
Total Available for Sale Securities       $ 93,663     $ 95,863  
Fair Value Inputs, Assets, Quantitative Information [Table Text Block]
        (Dollars in thousands)                    
        Fair Value at           Significant
Financial Asset   Valuation
Technique
  March 31,
2016
  December 31,
2015
  Valuation
Techniques
  Significant
Unobservable Inputs
  Unobservable
Input Value
Impaired Loans    Level III   $ 2,369     $ 1,155     Market Comparable Properties   Marketability Discount   10% to 30%  
(1)
OREO    Level III     3,236       111     Market Comparable Properties   Marketability Discount   10% to 50%  
(1)
Fair Value, by Balance Sheet Grouping [Table Text Block]
        (Dollars in thousands)
        March 31, 2016   December 31, 2015
    Valuation
Method
Used
  Carrying
Value
  Fair
Value
  Carrying
Value
  Fair
Value
Financial Assets:                                    
Cash and Due From Banks:                                    
Interest Bearing   Level I   $ 4,886     $ 4,886     $ 2,316     $ 2,316  
Non-Interest Bearing   Level I     7,695       7,695       9,024       9,024  
Investment Securities:                                    
Available for Sale   See Above     93,663       93,663       95,863       95,863  
Loans, Net   Level III     677,033       694,320       676,864       692,373  
Restricted Stock   Level II     3,235       3,235       3,824       3,824  
Bank-Owned Life Insurance   Level II     18,329       18,329       18,209       18,209  
Accrued Interest Receivable   Level II     2,234       2,234       2,419       2,419  
                                     
Financial Liabilities:                                    
Deposits   Level II     689,950       690,599       679,299       678,921  
Short-term Borrowings   Level II     22,583       22,583       32,448       32,448  
Other Borrowed Funds   Level III     28,000       28,483       28,000       27,830  
Accrued Interest Payable   Level II     309       309       305       305