Annual report pursuant to Section 13 and 15(d)

Note 2 - Securities - Amortized Cost and Estimated Fair Value of Debt Securities (Details)

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Note 2 - Securities - Amortized Cost and Estimated Fair Value of Debt Securities (Details) - USD ($)
$ in Thousands
Dec. 31, 2021
Dec. 31, 2020
1 year or less $ 3,051 $ 3,594
1 to 5 years 55,000 57,526
5 to 10 years 31,103 18,368
After 10 years 11,796 2,132
Fair value 100,950 81,620
Gross unrealized gains 1,034 2,088
Gross unrealized losses (1,147) (122)
Amortized cost 101,063 79,654
US Government Agencies Debt Securities [Member]    
1 year or less 0 1,000
1 to 5 years 5,587 4,863
5 to 10 years 4,466 1,284
After 10 years 0 0
Fair value 10,053 7,147
Gross unrealized gains 73 153
Gross unrealized losses (78) (17)
Amortized cost 10,058 7,011
Municipal Bonds [Member]    
1 year or less 1,631 769
1 to 5 years 3,941 3,726
5 to 10 years 2,244 4,353
After 10 years 10,184 2,132
Fair value 18,000 10,980
Gross unrealized gains 423 518
Gross unrealized losses (14) (18)
Amortized cost 17,591 10,480
Residential Mortgage Backed Securities [Member]    
1 year or less 356 1,443
1 to 5 years 29,375 34,485
5 to 10 years 12,417 7,166
After 10 years 0 0
Fair value 42,148 43,094
Gross unrealized gains 259 883
Gross unrealized losses (612) (21)
Amortized cost 42,501 42,232
Commercial Mortgage Backed Securities [Member]    
1 year or less 1,064 382
1 to 5 years 16,097 14,452
5 to 10 years 11,976 5,565
After 10 years 1,612 0
Fair value 30,749 20,399
Gross unrealized gains 279 534
Gross unrealized losses (443) (66)
Amortized cost $ 30,913 $ 19,931