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Interest-Bearing Deposits (Tables)
12 Months Ended
Dec. 31, 2016
Interest-Bearing Deposits [Abstract]  
Schedule of Interest Bearing Deposits

Interest-bearing deposits consist of the following:

December 31,
(In thousands) 2016 2015
Interest-bearing demand deposits       $      322,091       $      386,203
Savings deposits 29,430 16,758
Time deposits:  
       Less than $100 3,523 4,758
       $100 to less than $250 37,179 43,178
       $250 or more 15,082 13,764
Total $ 407,305 $ 464,661
Weighted average interest rate .48 % .51 %
Schedule of Interest on Deposits

Interest on deposits consists of the following:

December 31,
(In thousands)       2016       2015       2014
Interest-bearing demand deposits $      1,387 $      1,392 $      1,564
Savings deposits 100 65 87
Time deposits:  
       Less than $100 274 346 472
       $100 to less than $250 191 119 135
       $250 or more 77 189 202
Total $ 2,029 $ 2,111 $ 2,460
Schedule of Maturities of Time Deposits

The scheduled maturities of time deposits are summarized as follows:

December 31,
2016 2015
Percent Percent
(In thousands) Amount       of Total       Amount       of Total
Due within:
One year $ 48,740 87.4 % $ 55,350 89.7 %
Two years 4,752 8.5 2,690 4.4
Three years 155 0.3 1,566 2.5
Four years 2,072 3.7 83 0.1
Five years 65 0.1 2,011 3.3
Total $      55,784      100.0 % $      61,700      100.0 %