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Fair Value (Details 2) (USD $)
Sep. 30, 2014
item
Dec. 31, 2013
Financial assets:    
Available-for-sale securities $ 2,529,104 $ 37,315,652
Allowance for Loan losses 116,386,526 122,277,411
Number of impaired loans 12  
Aggregate carrying value, before reserves 228,576,231 207,471,246
Recurring basis | Carrying Value
   
Financial assets:    
Available-for-sale securities 2,529,104  
Derivative financial instruments 3,020  
Financial liabilities:    
Derivative financial instruments 16,334,580  
Recurring basis | Fair Value
   
Financial assets:    
Available-for-sale securities 2,529,104  
Derivative financial instruments 3,020  
Financial liabilities:    
Derivative financial instruments 16,334,580  
Recurring basis | Level 1
   
Financial assets:    
Available-for-sale securities 529,104  
Recurring basis | Level 2
   
Financial assets:    
Derivative financial instruments 3,020  
Financial liabilities:    
Derivative financial instruments 16,334,580  
Recurring basis | Level 3
   
Financial assets:    
Available-for-sale securities 2,000,000  
Nonrecurring basis | Carrying Value
   
Financial assets:    
Impaired loans, net 112,189,705  
Nonrecurring basis | Fair Value
   
Financial assets:    
Impaired loans, net 112,189,705  
Nonrecurring basis | Level 3
   
Financial assets:    
Impaired loans, net $ 112,189,705