v3.26.1
Note 9 - Securities Sold Under Agreements to Repurchase (Tables)
3 Months Ended
Mar. 31, 2026
Notes Tables  
Schedule of Short-Term Debt [Table Text Block]

(dollars in thousands)

 

March 31, 2026

   

December 31, 2025

 

Outstanding balance at end of period

  $ 87,513     $ 112,476  

Weighted average interest rate at end of period

    1.75

%

    1.80

%

                 

Fair value of securities pledged:

               

Mortgage backed securities

  $ 136,600     $ 116,097  

Government sponsored agency obligations

    12,736       12,811  

Total securities pledged

  $ 149,336     $ 128,908  
   

Three months ended

 
   

March 31,

 

(dollars in thousands)

 

2026

   

2025

 
                 

Average outstanding balance during the period

  $ 93,040     $ 158,985  

Average interest rate during the period

    1.75

%

    2.08

%

Maximum outstanding at any month end during the period

  $ 87,513     $ 192,507  
Offsetting Liabilities [Table Text Block]
(dollars in thousands)  

Gross amount of

recognized liabilities

   

Gross amount offset

in the balance sheet

   

Net amount of

liabilities presented

in the balance sheet

   

Investment securities

posted as collateral

   

Net amount

 
                                         

March 31, 2026

                                       

Repurchase agreements

  $ 87,513     $ -     $ 87,513     $ (87,513 )   $ -  

December 31, 2025

                                       

Repurchase agreements

  $ 112,476     $ -     $ 112,476     $ (112,476 )   $ -