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Investment Securities (Details)
3 Months Ended 9 Months Ended
Sep. 30, 2015
USD ($)
Sep. 30, 2014
USD ($)
Sep. 30, 2015
USD ($)
segment
security
Sep. 30, 2014
USD ($)
Dec. 31, 2014
USD ($)
Comparison of amortized cost and fair value of securities available for sale [Abstract]          
Gross Unrealized Gains $ 752,000   $ 752,000   $ 735,000
Gross Unrealized Losses (265,000)   (265,000)   (190,000)
Fair Value (Carrying Amount) 34,423,000   34,423,000   48,301,000
Amortized Cost [Abstract]          
Due in one year or less 4,000,000   4,000,000    
Due after one year through five years 17,000   17,000    
Due after five years through ten years 0   0    
Due after ten years 10,215,000   10,215,000    
Collateralized mortgage obligations 19,704,000   19,704,000    
Amortized Cost 33,936,000   33,936,000   47,756,000
Fair Value (Carrying Amount) [Abstract]          
Due in one year or less 3,847,000   3,847,000    
Due after one year through five years 17,000   17,000    
Due after five years through ten years 0   0    
Due after ten years 10,585,000   10,585,000    
Collateralized mortgage obligations 19,974,000   19,974,000    
Total AFS securities [1] 34,423,000   34,423,000   48,301,000
Available-for-sale securities, gross realized gains 0 $ 0 0 $ 0  
Available-for-sale securities, gross realized losses 0 0 0 0  
OTTI losses, investments 0 $ 0 0 $ 0  
Fair value of available-for-sale securities pledged as collateral for FHLB borrowings 17,774,050   17,774,050    
Held-to-maturity Securities 0   0   0
Trading Securities 0   0   0
Summarizes temporarily impaired investment securities [Abstract]          
Less than 12 Months, Fair Value (Carrying Amount) 3,847,000   3,847,000   6,478,000
Less than 12 Months, Unrealized Losses (153,000)   (153,000)   (13,000)
12 Months or More, Fair Value (Carrying Amount) 82,000   82,000   3,823,000
12 months or More, Unrealized Losses (112,000)   (112,000)   (177,000)
Total Fair Value (Carrying Amount) 3,929,000   3,929,000   10,301,000
Total Unrealized Losses (265,000)   $ (265,000)   (190,000)
Number of general segments for the segregation of portfolio | segment     2    
Carrying Amount          
Fair Value (Carrying Amount) [Abstract]          
Fair value of available-for-sale securities pledged as collateral for FHLB borrowings 17,244,209   $ 17,244,209    
U.S. Government agencies          
Comparison of amortized cost and fair value of securities available for sale [Abstract]          
Gross Unrealized Gains 482,000   482,000   399,000
Gross Unrealized Losses (112,000)   (112,000)   0
Fair Value (Carrying Amount) 10,602,000   10,602,000   12,496,000
Amortized Cost [Abstract]          
Amortized Cost 10,232,000   10,232,000   12,097,000
Summarizes temporarily impaired investment securities [Abstract]          
Less than 12 Months, Fair Value (Carrying Amount) 0   0   0
Less than 12 Months, Unrealized Losses 0   0   0
12 Months or More, Fair Value (Carrying Amount) 82,000   82,000   0
12 months or More, Unrealized Losses (112,000)   (112,000)   0
Total Fair Value (Carrying Amount) 82,000   82,000   0
Total Unrealized Losses (112,000)   (112,000)   0
U.S. Government collateralized mortgage obligations          
Comparison of amortized cost and fair value of securities available for sale [Abstract]          
Gross Unrealized Gains 270,000   270,000   336,000
Gross Unrealized Losses 0   0   (13,000)
Fair Value (Carrying Amount) 19,974,000   19,974,000   31,982,000
Amortized Cost [Abstract]          
Amortized Cost 19,704,000   19,704,000   31,659,000
Summarizes temporarily impaired investment securities [Abstract]          
Less than 12 Months, Fair Value (Carrying Amount) 0   0   6,478,000
Less than 12 Months, Unrealized Losses 0   0   (13,000)
12 Months or More, Fair Value (Carrying Amount) 0   0   0
12 months or More, Unrealized Losses 0   0   0
Total Fair Value (Carrying Amount) 0   0   6,478,000
Total Unrealized Losses 0   $ 0   (13,000)
Number of impaired securities | security     1    
Mutual Funds          
Comparison of amortized cost and fair value of securities available for sale [Abstract]          
Gross Unrealized Gains 0   $ 0   0
Gross Unrealized Losses (153,000)   (153,000)   (177,000)
Fair Value (Carrying Amount) 3,847,000   3,847,000   3,823,000
Amortized Cost [Abstract]          
Amortized Cost 4,000,000   4,000,000   4,000,000
Summarizes temporarily impaired investment securities [Abstract]          
Less than 12 Months, Fair Value (Carrying Amount) 3,847,000   3,847,000   0
Less than 12 Months, Unrealized Losses (153,000)   (153,000)   0
12 Months or More, Fair Value (Carrying Amount) 0   0   3,823,000
12 months or More, Unrealized Losses 0   0   (177,000)
Total Fair Value (Carrying Amount) 3,847,000   3,847,000   3,823,000
Total Unrealized Losses $ (153,000)   $ (153,000)   $ (177,000)
Number of impaired securities | security     1    
[1] Recurring