Form 10 Explorer
10-Q
Quarterly Report
AMES NATIONAL CORPORATION

ATLO

NASDAQ

CIK: 1132651

File #: 0-32637

Period End: Jun 30, 2026

Fiscal Year: 2026

View on EDGAR
Balance Sheet
73 line items · 2 periods
XBRL
ItemJun 30, 2026Dec 31, 2025
ASSETS
Cash and due from banks
18,939,00020,481,000
Interest-bearing deposits in financial institutions and federal funds sold
88,305,000106,272,000
Total cash and cash equivalents
107,244,000126,753,000
Interest-bearing time deposits
5,182,0005,678,000
Securities available-for-sale
695,251,000655,954,000
Fair Value, Recurring - US Treasury Securities
194,463,000144,063,000
Fair Value, Inputs, Level 1 - Fair Value, Recurring - US Treasury Securities
194,463,000144,063,000
Fair Value, Inputs, Level 2 - Fair Value, Recurring - US Treasury Securities
00
Fair Value, Inputs, Level 3 - Fair Value, Recurring - US Treasury Securities
00
Fair Value, Recurring - US Government Agencies Debt Securities
73,075,00077,982,000
Fair Value, Inputs, Level 1 - Fair Value, Recurring - US Government Agencies Debt Securities
00
Fair Value, Inputs, Level 2 - Fair Value, Recurring - US Government Agencies Debt Securities
73,075,00077,982,000
Fair Value, Inputs, Level 3 - Fair Value, Recurring - US Government Agencies Debt Securities
00
Fair Value, Recurring - Mortgage-Backed Security, Issued by US Government-Sponsored Enterprise
156,462,000135,490,000
Fair Value, Inputs, Level 1 - Fair Value, Recurring - Mortgage-Backed Security, Issued by US Government-Sponsored Enterprise
00
Fair Value, Inputs, Level 2 - Fair Value, Recurring - Mortgage-Backed Security, Issued by US Government-Sponsored Enterprise
156,462,000135,490,000
Fair Value, Inputs, Level 3 - Fair Value, Recurring - Mortgage-Backed Security, Issued by US Government-Sponsored Enterprise
00
Fair Value, Recurring - US States and Political Subdivisions Debt Securities
213,659,000236,947,000
Fair Value, Inputs, Level 1 - Fair Value, Recurring - US States and Political Subdivisions Debt Securities
00
Fair Value, Inputs, Level 2 - Fair Value, Recurring - US States and Political Subdivisions Debt Securities
213,659,000236,947,000
Fair Value, Inputs, Level 3 - Fair Value, Recurring - US States and Political Subdivisions Debt Securities
00
Fair Value, Recurring - Corporate Debt Securities
57,592,00061,472,000
Fair Value, Inputs, Level 1 - Fair Value, Recurring - Corporate Debt Securities
00
Fair Value, Inputs, Level 2 - Fair Value, Recurring - Corporate Debt Securities
57,592,00061,472,000
Fair Value, Inputs, Level 3 - Fair Value, Recurring - Corporate Debt Securities
00
Reported Value Measurement
695,251,000655,954,000
Estimate of Fair Value Measurement
695,251,000655,954,000
US Treasury Securities
194,463,000144,063,000
US Government Agencies Debt Securities
73,075,00077,982,000
Mortgage-Backed Security, Issued by US Government-Sponsored Enterprise
156,462,000135,490,000
US States and Political Subdivisions Debt Securities
213,659,000236,947,000
Corporate Debt Securities
57,592,00061,472,000
Federal Home Loan Bank (FHLB) and Federal Reserve Bank (FRB) stock, at cost
2,652,0002,795,000
Loans receivable, net
1,250,996,0001,280,222,000
Loans held for sale
892,000472,000
Bank premises and equipment, net
20,967,00020,920,000
Accrued income receivable
12,912,00014,067,000
Other real estate owned
0204,000
Fair Value, Nonrecurring
204,000
Fair Value, Inputs, Level 1 - Fair Value, Nonrecurring
0
Fair Value, Inputs, Level 2 - Fair Value, Nonrecurring
0
Fair Value, Inputs, Level 3 - Fair Value, Nonrecurring
204,000
Fair Value, Inputs, Level 3 - Fair Value, Nonrecurring - Valuation, Market Approach
204,000
Bank-owned life insurance
3,349,0003,303,000
Deferred income taxes, net
8,157,0007,494,000
Intangible assets, net
654,000791,000
Goodwill
12,424,00012,424,000
Other assets
2,218,0002,463,000
Total assets
2,122,898,0002,133,540,000
LIABILITIES
Noninterest-bearing checking
364,651,000353,766,000
Interest-bearing checking
629,244,000635,885,000
Savings and money market
535,726,000537,708,000
Time, $250 and over
79,768,00085,799,000
Other time
243,178,000241,509,000
Total deposits
1,852,567,0001,854,667,000
Securities sold under agreements to repurchase
30,898,00038,799,000
Other borrowings
16,452,00021,352,000
Accrued interest payable
2,289,0002,562,000
Accrued expenses and other liabilities
7,599,0008,266,000
Total liabilities
1,909,805,0001,925,646,000
STOCKHOLDERS' EQUITY
Common stock, $2 par value, authorized 18,000,000 shares; issued and outstanding 8,857,220 shares as of June 30, 2026 and December 31, 2025
17,714,00017,714,000
Additional paid-in capital
12,135,00012,135,000
Retained earnings
203,667,000195,993,000
Accumulated other comprehensive (loss)
(20,423,000)(17,948,000)
Total stockholders' equity
213,093,000207,894,000
Common Stock
17,714,00017,714,000
Additional Paid-in Capital
12,135,00012,135,000
Retained Earnings
203,667,000195,993,000
AOCI Attributable to Parent
(20,423,000)(17,948,000)
Total liabilities and stockholders' equity
2,122,898,0002,133,540,000