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Fair Value of Assets and Liabilities (Tables)
3 Months Ended
Mar. 31, 2017
Fair Value of Assets and Liabilities [Abstract]  
Summary of fair value measurements of assets measured at fair value on a recurring basis
($ in thousands)
Available-for-Sale Securities:
 Fair Values at 
3/31/17
  (Level 1)  (Level 2)  (Level 3) 
U.S. Treasury and Government Agencies $21,113  $-  $21,113  $- 
Mortgage-backed securities  72,147   -   72,147   - 
State and political subdivisions  14,607   -   14,607   - 
Equity securities  70   -   70   - 
Interest rate contracts - assets  611   -   611   - 
Interest rate contracts - liabilities  (611)  -   (611)  - 

 


($ in thousands)
Available-for-Sale Securities:
 Fair Values at 
12/31/2016
  (Level 1)  (Level 2)  (Level 3) 
U.S. Treasury and Government Agencies $13,358  $-  $13,358  $- 
Mortgage-backed securities  61,603   -   61,603   - 
State and political subdivisions  15,097   -   15,097   - 
Equity securities  70   -   70   - 
Interest rate contracts - assets  623   -   623   - 
Interest rate contracts - liabilities  (623)  -   (623)  -
Summary of fair value measurements of assets measured at fair value on a nonrecurring basis
($ in thousands)
Description
 Fair Values at 3/31/2017  (Level 1)  (Level 2)  (Level 3) 
Impaired loans $593  $-  $-  $593 
Mortgage Servicing Rights  2,402   -   -   2,402 

 

($ in thousands)
Description
 Fair Values at 12/31/2016  (Level 1)  (Level 2)  (Level 3) 
Impaired loans $786  $-  $-  $786 
Mortgage Servicing Rights  1,993   -   -   1,993
Summary of quantitative information about unobservable inputs used in recurring and nonrecurring

  Fair Value at  Valuation   Range (Weighted 
($’s in thousands) 3/31/2017  Technique Unobservable Inputs Average) 
           
Collateral-dependent impaired loans $593  Market comparable  Comparability adjustments(%) Not available 
      properties      
Mortgage servicing rights  2,402  Discounted cash flow Discount Rate  9.77%
        Constant prepayment rate  7.50%
        P&I earnings credit  0.98%
        T&I earnings credit  2.03%
        Inflation for cost of servicing  1.50%
           
  Fair Value at  Valuation   Range (Weighted 
($’s in thousands) 12/31/2016  Technique Unobservable Inputs Average) 
           
Collateral-dependent impaired loans $786  Market comparable Comparability adjustments(%) Not available 
      properties      
Mortgage servicing rights  1,993  Discounted cash flow Discount Rate  9.65%
        Constant prepayment rate  7.61%
        P&I earnings credit  0.76%
        T&I earnings credit  1.60%
        Inflation for cost of servicing  1.50%
 
Summary of estimated fair values of company's financial instruments
  March 31,
2017
          
  Carrying  Fair Value Measurements Using 
  Amount  (Level 1)  (Level 2)  (Level 3) 
             
Financial assets            
Cash and cash equivalents $45,740  $45,740  $-  $- 
Loans held for sale  5,104   -   5,212   - 
Loans, net of allowance for loan losses  619,043   -   -   620,113 
Federal Reserve and FHLB Bank stock  3,748   -   3,748   - 
Mortgage servicing rights  8,727   -   -   10,151 
Accrued interest receivable  1,462   -   1,462   - 
                 
Financial liabilities                
Deposits $712,915  $124,664  $591,668  $- 
FHLB advances  15,500   -   15,515   - 
Repurchase agreements  11,796   -   11,796   - 
Trust preferred securities  10,310   -   7,408   - 
Accrued interest payable  450   -   450   - 

 

  December 31, 
2016
          
  Carrying  Fair Value Measurements Using 
  Amount  (Level 1)  (Level 2)  (Level 3) 
             
Financial assets            
Cash and due from banks $17,012  $17,012  $-  $- 
Loans held for sale  4,434   -   4,503   - 
Loans, net of allowance for loan losses  636,708   -   -   636,909 
Federal Reserve and FHLB Bank stock, at cost  3,748   -   3,748   - 
Mortgage servicing rights  8,422   -   -   9,656 
Accrued interest receivable  1,512   -   1,512   - 
                 
Financial liabilities                
Deposits $673,073  $125,189  $550,990  $- 
FHLB advances  26,500   -   26,477   - 
Repurchase agreements  10,532   -   10,532   - 
Trust preferred securities  10,310   -   7,422   - 
Accrued interest payable  408   -   408   -