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11) Derivative Investments: Schedule of Gains and Losses on Derivatives (Tables)
6 Months Ended
Jun. 30, 2013
Tables/Schedules  
Schedule of Gains and Losses on Derivatives

 

Net Amount Gain (Loss) Recognized in OCI

Net Amount Gain (Loss) Recognized in OCI

Three Months Ended June 30

Six Months Ended June 30

Derivative - Cash Flow Hedging Relationships:

2013

2012

2013

2012

Interest Rate Lock Commitments

 $    1,234,935

 $  1,928,111

 $      519,211

 $ 2,904,891

Interest Rate Swaps

        12,685

          2,058

        21,801

        10,033

Sub Total

      1,247,620

       1,930,169

       541,012

      2,914,924

Tax Effect

       485,937

        656,412

       357,976

       991,074

Total

 $      761,683

 $  1,273,757

 $      183,036

 $ 1,923,850