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Fair Value Of Financial Instruments (Tables)
3 Months Ended
Mar. 31, 2016
Fair Value Of Financial Instruments [Abstract]  
Summary Of The Carrying Values And Estimated Fair Values Of Financial Instruments
    Carrying   Level 1   Level 2   Level 3   Total
March 31, 2016   Value   Inputs   Inputs   Inputs   Fair Value
Financial Assets:                    
Cash and cash equivalents $ 7,345 $ 7,345 $ -- $ -- $ 7,345
Federal Home Loan Bank stock   23,051   --   23,051   --   23,051
Loans, net   996,748   --   --   995,566   995,566
Interest receivable   6,061   --   6,061   --   6,061
 
Financial liabilities:                    
Deposits (with no stated maturity) $ 561,851 $ -- $ 561,851 $ -- $ 561,851
Time deposits   400,724   --   405,858   --   405,858
Borrowings   492,253   --   493,427   --   493,427
Interest payable   564   --   564   --   564

 

  Carrying Level 1 Level 2 Level 3 Total
December 31, 2015 Value Inputs Inputs Inputs Fair Value
Financial Assets:          
Cash and cash equivalents $ 9,720 $ 9,720 $ -- $ -- $ 9,720
Federal Home Loan Bank stock   21,479   --   21,479   --   21,479
Loans, net   980,631   --   --   975,610   975,610
Interest receivable   5,420   --   5,420   --   5,420
 
Financial liabilities:                    
Deposits (with no stated maturity) $ 546,058 $ -- $ 546,058 $ -- $ 546,058
Time deposits   396,729   --   399,146   --   399,146
Borrowings   474,791   --   473,404   --   473,404
Interest payable   527   --   527   --   527