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Deposits (Tables)
12 Months Ended
Dec. 31, 2014
Deposits [Abstract]  
Schedule of major classifications of interest-bearing deposits
   
2014
   
2013
   
2012
 
NOW and SuperNOW
  $ 26,990,274     $ 27,991,553     $ 31,699,734  
Money Market
    20,465,436       19,219,579       20,734,875  
Savings
    74,973,038       71,278,801       68,516,141  
Certificates of Deposit, $100,000 or more
    36,118,031       28,916,597       28,213,893  
Other time deposits
    91,767,589       89,649,301       98,835,758  
                         
    $ 250,314,368     $ 237,055,831     $ 248,000,401  
Schedule of interest expense on deposit
   
2014
   
2013
   
2013
 
                   
NOW and SuperNOW
  $ 11,608     $ 11,300     $ 15,754  
Money Market
    9,965       10,618       25,914  
Savings
    37,537       55,591       106,424  
Certificates of Deposit, $100,000 or more
    523,472       373,880       459,130  
Other time deposits
    1,310,732       1,562,938       2,003,684  
                         
    $ 1,893,314     $ 2,014,327     $ 2,610,906  
Schedule of scheduled maturities of time deposits
   
2014
 
       
2015
  $ 46,167,000  
2016
    22,907,000  
2017
    7,022,000  
2018
    17,514,000  
2019
    26,052,000  
2020 and thereafter
    8,224,000  
         
    $ 127,886,000