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FAIR VALUE DISCLOSURES (Tables)
9 Months Ended
Jun. 30, 2016
Fair Value Disclosures [Abstract]  
Schedule of assets measured at fair value on a recurring basis
    Fair Value at June 30, 2016  
    Total     Level 1     Level 2     Level 3  
    (Dollars in thousands)  
Securities available for sale:                                
Obligations of U.S. government-sponsored enterprises:                                
Mortgage-backed securities-residential   $ 5,448     $     $ 5,448     $  
Private label mortgage-backed securities-residential     117             117        
            Total securities available for sale   $ 5,565     $     $ 5,565     $  

 

    Fair Value at September 30, 2015  
    Total     Level 1     Level 2     Level 3  
    (Dollars in thousands)  
Securities available for sale:                                
Obligations of U.S. government-sponsored enterprises:                                
Mortgage-backed securities-residential   $ 5,914     $     $ 5,914     $  
Private label mortgage-backed securities-residential     150             150        
            Total securities available for sale   $ 6,064     $     $ 6,064     $  
Schedule of assets measured at fair value on a non-recurring basis
    Fair Value at June 30, 2016  
    Total     Level 1     Level 2     Level 3  
    (Dollars in thousands)  
                         
Impaired loans   $ 1,212     $     $     $ 1,212  
Other real estate owned     13,725                   13,725  
    $ 14,937     $     $     $ 14,937  

 

    Fair Value at September 30, 2015  
    Total     Level 1     Level 2     Level 3  
    (Dollars in thousands)  
                         
Impaired loans   $ 1,489     $     $     $ 1,489  
Other real estate owned     16,192                   16,192  
    $ 17,681     $     $     $ 17,681  
Schedule of quantitative information about assets measured at fair value on a nonrecurring bassis for which Level 3 inputs were used to determine fair value
         
  Fair Value Valuation    
June 30, 2016 Estimate Techniques Unobservable Input Range (Weighted Average)
         
Impaired loans  $     1,212 Appraisal of 
collateral (1)
Appraisal adjustments (2) -7.9% to -20.8% (-9.8%)
Other real estate owned  $   13,725 Appraisal of 
collateral (1)
Liquidation expenses (2) -3.9% to -41.6% (-22.7%)

 

  Fair Value Valuation    
September 30, 2015 Estimate Techniques Unobservable Input Range (Weighted Average)
         
Impaired loans  $     1,489 Appraisal of 
collateral (1)
Appraisal adjustments (2) -16.0% to -40.0% (-8.0%)
Other real estate owned  $   16,192 Appraisal of 
collateral (1)
Liquidation expenses (2) 0.0% to -41.2% (-15.1%)

 

 

  (1) Fair value is generally determined through independent appraisals for the underlying collateral, which generally include various level 3 inputs which are not identifiable.

 

  (2) Appraisals may be adjusted by management for qualitative factors such as economic conditions and estimated liquidation expenses. The range and weighted average of liquidation expenses and other appraisal adjustments are presented as a percent of the appraisal.
Schedule of the carrying amount, fair value, and placement in the fair value hierarchy of financial instruments carried at cost or amortized cost
    Carrying     Fair     Fair Value Measurement Placement  
    Value     Value     (Level 1)     (Level 2)     (Level 3)  
    (Dollars in thousands)  
June 30, 2016                                        
Financial instruments - assets                                        
Investment securities held to maturity   $ 55,391     $ 56,495     $     $ 56,495     $  
Loans     439,533       446,151                   446,151  
                                         
Financial instruments - liabilities                                        
Certificates of deposit including retirement certificates     136,922       138,203             138,203        
Borrowings     41,040       41,673             41,673        
                                         
September 30, 2015                                        
Financial instruments - assets                                        
Investment securities held to maturity   $ 52,614     $ 53,248     $     $ 53,248     $  
Loans     420,596       425,890                   425,890  
                                         
Financial instruments - liabilities                                        
Certificates of deposit including retirement certificates     143,108       144,150             144,150        
Borrowings     31,594       32,231             32,231