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Consolidated Statements Of Changes In Stockholders' Equity (USD $)
In Thousands
Preferred Stock [Member]
Common Stock [Member]
Treasury Stock [Member]
Capital Surplus [Member]
Retained Earnings [Member]
Accumulated Other Comprehensive Loss [Member]
Total
Balance at Dec. 31, 2008 $ 20,447 $ 65,794 $ (68,659) $ 79,353 $ 20,533 $ (4,216)  
Accretion of preferred stock discount 111       (111)    
New shares issued for dividend reinvestment plan   51   22      
Change in par value (from $2.50 per share to $0.01 per share)   (65,582)   65,582      
Restricted stock   1   16      
Treasury stock, purchased at cost (287,400 shares)     0        
Stock option expense       11      
Net income (loss)         (4,895)   (4,895)
Warrant repurchase (1,312,500 shares)         0    
Cash dividend declared on preferred stock         (1,047)    
Other comprehensive income (loss)           (157) (157)
Balance at Dec. 31, 2009 20,558 264 (68,659) 144,984 14,480 (4,373) 107,254
Accretion of preferred stock discount 111       (111)    
New shares issued for dividend reinvestment plan   0   3      
Change in par value (from $2.50 per share to $0.01 per share)   0   0      
Restricted stock   0   40      
Treasury stock, purchased at cost (287,400 shares)     0        
Stock option expense       18      
Net income (loss)         1,282   1,282
Warrant repurchase (1,312,500 shares)         0    
Cash dividend declared on preferred stock         (1,050)    
Other comprehensive income (loss)           (489) (489)
Balance at Dec. 31, 2010 20,669 264 (68,659) 145,045 14,601 (4,862) 107,058
Accretion of preferred stock discount 331       (331)    
New shares issued for dividend reinvestment plan   0   1      
Change in par value (from $2.50 per share to $0.01 per share)   0   0      
Restricted stock   0   0      
Treasury stock, purchased at cost (287,400 shares)     (582)        
Stock option expense       15      
Net income (loss)         6,537   6,537
Warrant repurchase (1,312,500 shares)         (825)    
Cash dividend declared on preferred stock         (1,054)    
Other comprehensive income (loss)           1,202 1,202
Balance at Dec. 31, 2011 $ 21,000 $ 264 $ (69,241) $ 145,061 $ 18,928 $ (3,660) $ 112,352