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INVESTMENT SECURITIES AVAILABLE FOR SALE (Tables)
12 Months Ended
Dec. 31, 2014
Investments, Debt and Equity Securities [Abstract]  
Schedule of investment securities available for sale

The amortized cost and fair value of investment securities available for sale are summarized as follows:

 

    DECEMBER 31, 2014
    AMORTIZED
COST
  GROSS
UNREALIZED
GAINS
  GROSS
UNREALIZED
LOSSES
  ESTIMATED
FAIR
VALUE
                 
U.S. Treasury Notes   $ 29,162,412     $ 105,627     $ 19,758     $ 29,248,281  
Government-Sponsored Enterprises     50,194,951       95,961       148,263       50,142,649  
Municipal Securities     32,663,698       1,973,743       34,259       34,603,182  
                                 
Total   $ 112,021,061     $ 2,175,331     $ 202,280     $ 113,994,112  

 

    DECEMBER 31, 2013
    AMORTIZED
COST
  GROSS
UNREALIZED
GAINS
  GROSS
UNREALIZED
LOSSES
  ESTIMATED
FAIR
VALUE
                 
U.S. Treasury Notes   $ 15,841,901     $ 58,429     $ 67,929     $ 15,832,401  
Government-Sponsored Enterprises     43,582,119       363,981       311,062       43,635,038  
Municipal Securities     33,706,898       1,599,638       125,754       35,180,782  
                                 
Total   $ 93,130,918     $ 2,022,048     $ 504,745     $ 94,648,221  
Schedule of contractual maturity of investment securities available for sale

 

  DECEMBER 31, 2014
    AMORTIZED
COST
  ESTIMATED
FAIR
VALUE
         
Due in one year or less   $ 8,324,400     $ 8,362,398  
Due in one year to five years     43,301,670       43,851,426  
Due in five years to ten years     52,566,597       53,671,067  
Due in ten years and over     7,828,394       8,109,221  
                 
Total   $ 112,021,061     $ 113,994,112  

 

  DECEMBER 31, 2013
    AMORTIZED
COST
  ESTIMATED
FAIR
VALUE
         
Due in one year or less   $ 11,048,145     $ 11,147,251  
Due in one year to five years     39,310,800       39,914,350  
Due in five years to ten years     31,907,109       32,503,090  
Due in ten years and over     10,864,864       11,083,530  
                 
Total   $ 93,130,918     $ 94,648,221  

 

Schedule of investment securities available for sale in a continuous unrealized loss position

Aggregated by investment category and length of time that individual securities have been in a continuous unrealized loss position, at December 31, 2014 and December 31, 2013 are as follows:

 

  DECEMBER 31, 2014
    Less than 12 months   12 months or longer   Total
Descriptions of Securities   Fair
Value
  Unrealized
Losses
  Fair
Value
  Unrealized
Losses
  Fair
Value
  Unrealized
Losses
U.S. Treasury Notes     4,948,438       19,758                       4,948,438       19,758  
Government-Sponsored Enterprises     28,850,132       148,263      

 

 

     

 

 

      28,850,132       148,263  
Municipal Securities     931,428       27,182       1,557,833       7,077       2,489,261       34,259  
Total     34,729,998       195,203       1,557,833       7,077       36,287,831       202,280  

 

  DECEMBER 31, 2013
    Less than 12 months   12 months or longer   Total
Descriptions of Securities   Fair
Value
  Unrealized
Losses
  Fair
Value
  Unrealized
Losses
  Fair
Value
  Unrealized
Losses
U.S. Treasury Notes     9,713,619       67,929                       9,713,619       67,929  
Government-Sponsored Enterprises     20,027,016       311,062      

 

 

     

 

 

      20,027,016       311,062  
Municipal Securities     2,496,742       125,652       401,624       102       2,898,366       125,754  
Total     32,237,377       504,643       401,624       102       32,639,001       504,745
Schedule of changes in Level 3 instruments

The following table reconciles the changes in Level 3 financial instruments for the year ended December 31, 2014 and 2013.

 

Level 3
Municipal Securities
December 31,
    2014   2013
Beginning Balance   $ 1,525,337     $ 1,740,341  
Total gains or (losses) (realized/unrealized)                
 Included in earnings            
 Included in other comprehensive income     16,752       (55,004 )
 Purchases, issuances and settlements     (165,000 )     (160,000 )
 Transfers in and/or out of level 3            
Ending Balance   $ 1,377,089     $ 1,525,337