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Note 9 - Fair Value of Financial Instruments (Tables)
9 Months Ended
Sep. 30, 2012
Fair Value, by Balance Sheet Grouping [Table Text Block]
 

September 30, 2012

December 31, 2011

         

Estimated

       

Estimated

 

Carrying

Fair

Carrying

Fair

 

Value

Value

Value

Value

FINANCIAL ASSETS:

                               

Level 1 inputs:

                               

Cash and cash equivalents

  $ 42,380   $ 42,380   $ 79,799   $ 79,799

Level 2 inputs:

                               

Interest-bearing time deposits in banks

    29,840     30,752     27,113     27,572

Federal Home Loan Bank stock

    578     578     576     576

Loans held for sale

    5,790     5,790     3,339     3,339

Cash surrender value of life insurance

    22,799     22,799     22,213     22,213

Accrued interest receivable

    1,732     1,732     1,516     1,516

Level 3 inputs:

                               

Loans receivable—net

    339,978     354,714     331,453     333,006
                                 

FINANCIAL LIABILITIES:

                               

Level 2 inputs:

                               

Checking, money market and savings accounts

    201,189     201,189     207,015     207,015

Other borrowings

    3,174     3,321     6,679     6,889

Accrued interest payable

    28     28     54     54

Advance payments by borrowers for taxes and insurance

    535     535     816     816

Level 3 inputs:

                               

Certificates of deposit

    264,877     269,425     291,566     293,198