v3.26.1
Note 3 - Investment Securities - Schedule of Investments by Contractual Maturity Date (Details) - USD ($)
$ in Thousands
Mar. 31, 2026
Dec. 31, 2025
Due within one year, available for sale, amortized cost $ 21  
Due within one year, available for sale, fair value 18  
Due after one year through five years, available for sale, amortized cost 1,445  
Due after one year through five years, available for sale, fair value 1,353  
Due after five years through ten years, available for sale, amortized cost 1,307  
Due after five years through ten years, available for sale, fair value 1,250  
Due after ten years, available for sale, amortized cost 1,866  
Due after ten years, available for sale, fair value 1,745  
Total available for sale, available for sale, amortized cost 4,639 $ 5,015
Investment securities available for sale, at fair value 4,366 4,746
Due within one year, held to maturity, amortized cost 1,571  
Due within one year, held to maturity, fair value, held to maturity, amortized cost 1,556  
Due after one year through five years, held to maturity, amortized cost 0  
Due after one year through five years, held to maturity, fair value 0  
Due after five years through ten years, held to maturity, amortized cost 2,470  
Due after five years through ten years, held to maturity, fair value 2,061  
Due after ten years, held to maturity, amortized cost 4,719  
Due after ten years, held to maturity, fair value 3,745  
Investment securities held to maturity, net of allowance for credit losses 8,760 8,777
Investment Securities, Held to Maturity, Fair Value $ 7,362 $ 7,487