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Long-Term Debt
6 Months Ended
Jun. 30, 2024
Long-Term Debt.  
Long-Term Debt

NOTE 12 Long-Term Debt

Long-term debt as of June 30, 2024 and December 31, 2023 consisted of the following:

June 30, 2024

Period End

Face

Carrying

Interest

Maturity

(dollars in thousands)

    

Value

    

Value

    

Interest Rate

    

Rate

    

Date

    

Call Date

Subordinated notes payable

$

50,000

$

50,000

Fixed

3.50

%  

3/30/2031

3/31/2026

Junior subordinated debenture (Trust I)

4,124

3,605

 

Three-month CME SOFR + 0.26% + 3.10%

8.70

%  

6/26/2033

 

6/26/2008

Junior subordinated debenture (Trust II)

 

6,186

 

5,408

 

Three-month CME SOFR + 0.26% + 1.80%

7.40

%  

9/15/2036

 

9/15/2011

Total long-term debt

$

60,310

$

59,013

 

  

 

  

 

  

 

  

December 31, 2023

Period End

Face

Carrying

Interest

Maturity

(dollars in thousands)

    

Value

    

Value

    

Interest Rate

    

Rate

    

Date

    

Call Date

Subordinated notes payable

$

50,000

$

50,000

 

Fixed

 

3.50

%  

3/30/2031

 

3/31/2026

Junior subordinated debenture (Trust I)

 

4,124

 

3,583

 

Three-month CME SOFR + 0.26% + 3.10%

8.72

%  

6/26/2033

 

6/26/2008

Junior subordinated debenture (Trust II)

 

6,186

 

5,373

 

Three-month CME SOFR + 0.26% + 1.80%

7.45

%  

9/15/2036

 

9/15/2011

Total long-term debt

$

60,310

$

58,956