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Fair Value of Financial Instruments (Tables)
6 Months Ended
Jun. 30, 2013
Fair Value Of Financial Instruments Tables  
Schedule of carrying amount and fair value of financial instruments
The estimated fair values and fair value measurement method with respect to the Company's financial instruments were as follows (in thousands):

  

   At June 30, 2013   At December 31, 2012 
   Carrying   Fair       Carrying   Fair     
   Amount   Value   Level   Amount   Value   Level 
Financial assets:                              
Cash and cash equivalents  $17,665   $17,665    1   $23,611   $23,611    1 
Securities available for sale   20,722    20,722    2    18,648    18,648    2 
Loans   84,639    84,412    3    85,209    85,046    3 
Federal Home Loan Bank stock   1,419    1,419    3    1,478    1,478    3 
Accrued interest receivable   503    503    3    499    499    3 
                               
Financial liabilities:                              
Deposit liabilities   97,679    98,047    3    101,611    101,985    3 
Federal Home Loan Bank advances   27,700    28,601    3    27,700    29,633    3 
Junior subordinated debenture   5,155    4,830    3    5,155    4,836    3 
Off-balance sheet financial instruments   0    0    3    0    0    3