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Note 9 - Short-Term Borrowings
12 Months Ended
Dec. 31, 2020
Notes to Financial Statements  
Short-Term Borrowings

Note 9. Short-Term Borrowings

Short-term borrowings as of December 31, 2020 and 2019 are summarized as follows:

    

2020

    

2019

(dollars in thousands)

Overnight repurchase agreements with customers

$

$

2,193

Federal funds purchased

 

5,430

 

11,230

$

5,430

$

13,423

As of December 31, 2020, the Company is no longer offering overnight repurchase agreements with customers.

The Company’s overnight repurchase agreements with customers were collateralized by investment securities with carrying values as follows:

    

2020

    

2019

(dollars in thousands)

U.S. govt. sponsored agency securities

$

$

1,964

Residential mortgage-backed and related securities

 

517

 

1,456

Total securities pledged to overnight customer repurchase agreements

 

517

 

3,420

Less: overcollateralized position

 

517

 

1,227

$

$

2,193

Inherent in the overnight repurchase agreements is a risk that the fair value of the collateral pledged on the agreements could decline below the amount obligated under our customer repurchase agreements. The Company considers this risk minimal. The Company monitors balances daily to ensure that collateral is sufficient to meet obligations. Additionally, the Company maintains an overcollateralized position that is sufficient to cover any interest rate movements.  

The securities underlying the agreements as of December 31, 2019 were under the Company’s control in safekeeping at third-party financial institutions.

Information concerning overnight repurchase agreements with customers is summarized as follows for the years ended December 31, 2020 and 2019:

    

2020

2019

(dollars in thousands)

Average daily balance

$

1,495

$

4,231

Average daily interest rate

 

0.40

%  

 

0.73

%

Maximum month-end balance

$

2,377

$

4,177

Weighted average rate as of December 31

 

%  

 

1.00

%

Note 9. Short-Term Borrowings (continued)

Information concerning federal funds purchased is summarized as follows for the years ended December 31, 2020 and 2019:

    

2020

2019

(dollars in thousands)

Average daily balance

$

19,573

$

12,594

Average daily interest rate

 

0.36

%  

 

2.56

%

Maximum month-end balance

$

30,430

$

17,010

Weighted average rate as of December 31

 

0.06

%  

 

1.50

%