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FAIR VALUE DISCLOSURES (Tables)
12 Months Ended
Sep. 30, 2019
Fair Value Disclosures [Abstract]  
Schedule of assets measured at fair value on a recurring basis

The following table provides the level of valuation assumptions used to determine the carrying value of the Company’s assets measured at fair value on a recurring basis at September 30, 2019 and 2018:

 

   Fair Value at September 30, 2019 
   Total   Level 1   Level 2   Level 3 
   (In thousands) 
Securities available for sale:                    
Obligations of U.S. government agencies:                    
Mortgage-backed securities - residential  $495   $   $495   $ 
Obligations of U.S. government-sponsored enterprises:                    
Mortgage-backed securities-residential   14,708        14,708     
Debt securities   1,500        1,500     
            Total securities available for sale  $16,703   $   $16,703   $ 

 

   Fair Value at September 30, 2018 
   Total   Level 1   Level 2   Level 3 
   (In thousands) 
Securities available for sale:                    
Obligations of U.S. government agencies:                    
Mortgage-backed securities - residential  $1,495   $   $1,495   $ 
Obligations of U.S. government-sponsored enterprises:                    
Mortgage-backed securities-residential  $18,613   $   $18,613   $ 
Debt securities   2,361        2,361     
            Total securities available for sale  $22,469   $   $22,469   $ 
Schedule of assets measured at fair value on a non-recurring basis

The following tables provide the level of valuation assumptions used to determine the carrying value of our assets measured at fair value on a non-recurring basis at September 30, 2019 and 2018:

 

   Fair Value at September 30, 2019 
   Total   Level 1   Level 2   Level 3 
   (In thousands) 
                 
Impaired loans  $6,835   $   $   $6,835 
Other real estate owned   7,528            7,528 
Total  $14,363   $   $   $14,363 

 

   Fair Value at September 30, 2018 
   Total   Level 1   Level 2   Level 3 
   (In thousands) 
                 
Impaired loans  $464   $   $   $464 
Other real estate owned   8,586            8,586 
Total  $9,050   $   $   $9,050 

 

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

The following table presents additional quantitative information about assets measured at fair value on a nonrecurring basis and for which Company has utilized Level 3 inputs to determine fair value:

 

Quantitative Information about Level 3 Fair Value Measurements
(Dollars in thousands)
         
  Fair Value Valuation    
September 30, 2019 Estimate Techniques Unobservable Input Range (Weighted Average)
         
Impaired loans  $     6,835 Appraisal of
collateral (1)
Appraisal adjustments (2) -1.9% to -67.2% (-25.0%)
Other real estate owned  $     7,528 Appraisal of
collateral (1)
Liquidation expenses (2) -9.2% to -48.5% (-19.4%)

 

Quantitative Information about Level 3 Fair Value Measurements
(Dollars in thousands)
         
  Fair Value Valuation    
September 30, 2018 Estimate Techniques Unobservable Input Range (Weighted Average)
         
Impaired loans  $        464 Appraisal of
collateral (1)
Appraisal adjustments (2) -10.2% to -32.0% (-21.3%)
Other real estate owned  $     8,586 Appraisal of
collateral (1)
Liquidation expenses (2) -5.6% to -48.5% (-15.4%)

 

(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 
   Amount   Value   (Level 1)   (Level 2)   (Level 3) 
   (In thousands) 
September 30, 2019                         
Financial instruments - assets                         
Investment securities held-to-maturity  $29,481   $29,344   $   $29,344   $ 
Loans   518,217    527,088            527,088 
Financial instruments - liabilities                         
Certificates of deposit   116,776    117,730        117,730     
Borrowings   36,189    36,583        36,583     
                          
September 30, 2018                         
Financial instruments - assets                         
Investment securities held-to-maturity  $33,645   $32,151   $   $32,151   $ 
Loans   508,430    505,479            505,479 
Financial instruments - liabilities                         
Certificates of deposit   130,343    130,813        130,813     
Borrowings   35,524    34,863        34,863