| Deposit Liabilities Disclosures [Text Block] |
Note 6 – Deposits Deposits as of March 31, 2016 and December 31, 2015 were as follows (dollars in thousands): | | | March 31, 2016 | | December 31, 2015 | | | | | Amount | | | % | | Amount | | | % | | | | | | | | | | | | | | | | | | Demand accounts | | $ | 78,986 | | | 21.4 | % | $ | 78,282 | | | 21.4 | % | | Interest checking accounts | | | 44,130 | | | 12.0 | % | | 44,256 | | | 12.1 | % | | Money market accounts | | | 66,447 | | | 18.0 | % | | 64,841 | | | 17.8 | % | | Savings accounts | | | 20,373 | | | 5.5 | % | | 19,403 | | | 5.3 | % | | Time deposits of $250,000 and over | | | 14,241 | | | 3.9 | % | | 9,717 | | | 2.7 | % | | Other time deposits | | | 144,907 | | | 39.2 | % | | 148,349 | | | 40.7 | % | | | | | | | | | | | | | | | | | Total | | $ | 369,084 | | | 100.0 | % | $ | 364,848 | | | 100.0 | % |
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