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Note 19 - Fair Value of Financial Instruments (Tables)
12 Months Ended
Dec. 31, 2014
Disclosure Text Block Supplement [Abstract]  
Fair Value, by Balance Sheet Grouping [Table Text Block]
   

December 31, 2014

   

December 31, 2013

 
           

Estimated

           

Estimated

 
   

Carrying

   

Fair

   

Carrying

   

Fair

 
   

Value

   

Value

   

Value

   

Value

 

FINANCIAL ASSETS:

                               

Level 1 inputs:

                               

Cash and cash equivalents

  $ 113,086     $ 113,086     $ 23,970     $ 23,970  

Level 2 inputs:

                               

Interest-bearing time deposits in banks

    12,421       12,663       24,118       24,573  

Other investment securities

    5,864       5,864       457       457  

Loans held for sale

    6,409       6,409       4,205       4,205  

Cash surrender value of life insurance

    44,130       44,130       23,811       23,811  

Accrued interest receivable

    4,485       4,485       1,473       1,473  

Level 3 inputs:

                               

Loans receivable—net

    1,041,222       1,063,529       371,149       377,851  
                                 

FINANCIAL LIABILITIES:

                               

Level 1 inputs:

                               

Short term borrowings

    12,083       12,083       --       --  

Level 2 inputs:

                               

Checking, money market and savings accounts

    800,203       800,203       203,067       203,067  

Other borrowings

    61,258       62,175       5,941       6,017  

Accrued interest payable

    304       304       33       33  

Level 3 inputs:

                               

Certificates of deposit

    463,594       464,650       266,658       266,495