Quarterly report pursuant to Section 13 or 15(d)

Note 5 - Loans Receivable - Allowance for Loan Losses, by Loan Segment (Details)

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Note 5 - Loans Receivable - Allowance for Loan Losses, by Loan Segment (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2022
Jun. 30, 2021
Jun. 30, 2022
Jun. 30, 2021
Beginning Balance $ 13,387 $ 13,047 $ 13,343 $ 12,458
Recoveries 46 27 100 49
Provisions   576   1,154
Ending Balance 13,406 13,639 13,406 13,639
Charge-offs (27) (11) (37) (22)
Residential Portfolio Segment [Member]        
Beginning Balance 2,493 2,176 2,480 2,211
Recoveries 29 15 50 25
Provisions 234 103 226 62
Ending Balance 2,756 2,294 2,756 2,294
Charge-offs   0   (4)
Home Equity Portfolio Segment [Member]        
Beginning Balance 354 309 357 276
Provisions 19 62 16 96
Ending Balance 373 371 373 371
Charge-offs   0   (1)
Commercial Real Estate Portfolio Segment [Member]        
Beginning Balance 5,530 5,726 5,515 5,406
Provisions (3) 213 12 533
Ending Balance 5,527 5,939 5,527 5,939
Construction and Land Development Portfolio Segment [Member]        
Beginning Balance 2,135 1,587 2,119 1,405
Provisions (391) 211 (375) 393
Ending Balance 1,744 1,798 1,744 1,798
Multifamily Portfolio Segment [Member]        
Beginning Balance 889 680 848 626
Provisions 239 60 280 114
Ending Balance 1,128 740 1,128 740
Commercial Portfolio Segment [Member]        
Beginning Balance 1,941 2,552 2,009 2,508
Recoveries 7 11 38 19
Provisions (140) (89) (239) (53)
Ending Balance 1,808 2,474 1,808 2,474
Consumer Portfolio Segment [Member]        
Beginning Balance 45 17 15 26
Recoveries 10 1 12 5
Provisions 42 16 80 9
Ending Balance 70 23 70 23
Charge-offs (27) $ (11) (37) $ (17)
Manufactured Homes Portfolio Segment [Member]        
Ending Balance 0   0  
Government Portfolio Segment [Member]        
Ending Balance $ 0   $ 0