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Note 9 - Short-term Borrowings (Tables)
12 Months Ended
Dec. 31, 2020
Notes Tables  
Schedule of Short-term borrowings

    

2020

    

2019

(dollars in thousands)

Overnight repurchase agreements with customers

$

$

2,193

Federal funds purchased

 

5,430

 

11,230

$

5,430

$

13,423

Schedule of repurchase agreements

    

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

%

    

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

%

Securities Sold under Agreements to Repurchase [Member]  
Notes Tables  
Schedule of repurchase agreements collateralized by investment securities

    

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