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Investment Securities (Tables)
6 Months Ended
Jun. 30, 2017
Investments, Debt and Equity Securities [Abstract]  
Schedule of investment securities available for sale

The amortized cost, gross unrealized gains and losses, and fair value of investment securities available for sale are summarized as follows:

       
    JUNE 30, 2017  
    AMORTIZED  
COST
    GROSS  
UNREALIZED
GAINS
    GROSS  
UNREALIZED
LOSSES
    FAIR
VALUE
 
                         
U.S. Treasury Notes   $ 24,139,912     $ 62,201     $ (6,799 )   $ 24,195,314  
Government-Sponsored Enterprises     66,708,908       391,749       (383,380 )     66,717,277  
Municipal Securities     41,192,677       865,966       (310,853 )     41,747,790  
                                 
Total   $ 132,041,497     $ 1,319,916     $ (701,032 )   $ 132,660,381  

       
    DECEMBER 31, 2016  
    AMORTIZED
  COST
    GROSS
UNREALIZED
GAINS
    GROSS
UNREALIZED
  LOSSES
    FAIR
VALUE
 
                         
U.S. Treasury Notes   $ 24,148,295     $ 41,153     $ (250,385 )   $ 23,939,063  
Government-Sponsored Enterprises     51,737,930       129,482       (833,321 )     51,034,091  
Municipal Securities     45,056,390       765,813       (816,413 )     45,005,790  
                                 
Total   $ 120,942,615     $ 936,448     $ (1,900,119 )   $ 119,978,944  
Schedule of amortized cost and estimated fair value of investment securities available for sale by contractual maturity

The amortized cost and estimated fair value of investment securities available for sale as of June 30, 2017 and December 31, 2016, by contractual maturity are as follows:

             
    JUNE 30, 2017     DECEMBER 31, 2016  
    AMORTIZED
COST
    FAIR
VALUE
    AMORTIZED
COST
    FAIR
  VALUE
 
                         
Due in one year or less   $ 3,017,513     $ 3,038,231     $ 3,343,347     $ 3,350,205  
Due in one year to five years     91,871,936       92,428,862       82,848,411       82,682,901  
Due in five years to ten years     33,599,190       33,748,377       29,662,030       29,169,228  
Due in ten years and over     3,552,859       3,444,911       5,088,827       4,776,610  
                                 
Total   $ 132,041,498     $ 132,660,381     $ 120,942,615     $ 119,978,944
Schedule of investment securities gross unrealized losses on investment securities and the fair market value of the related securities

The tables below summarize gross unrealized losses on investment securities and the fair market value of the related securities, aggregated by investment category and length of time that individual securities have been in a continuous unrealized loss position, at June 30, 2017 and December 31, 2016. We believe that all unrealized losses have resulted from temporary changes in the interest rates and current market conditions and not as a result of credit deterioration. We do not intend to sell and it is not likely that we will be required to sell any of the securities referenced in the table below before recovery of their amortized cost.

                                                       
Less Than 12 Months     12 Months or Longer     Total  
    #     Fair Value     Gross Unrealized Loss     #     Fair Value     Gross Unrealized Loss     #     Fair Value     Gross Unrealized Loss  
June 30, 2017                                                      
Available for sale                                                                        
U.S. Treasury notes     2     $ 10,142,188     $ (6,799 )         $     $       2     $ 10,142,188     $ (6,799 )
Government-sponsored enterprises     4       12,441,218       (326,380 )     1       2,928,357       (57,000 )     5       15,369,575       (383,380 )
Municipal securities     36       15,193,138       (310,853 )                       36       15,193,138       (310,853 )
Total     42     $ 37,776,544     $ (644,032 )     1     $ 2,928,357     $ (57,000 )     43     $ 40,704,901     $ (701,032 )
December 31, 2016                                                                        
Available for sale                                                                        
U.S. Treasury notes     4     $ 17,968,594     $ (250,385 )         $     $       4     $ 17,968,594     $ (250,385 )
Government-sponsored enterprises     8       30,136,720       (833,321 )                       8       30,136,720       (833,321 )
Municipal securities     54       22,606,430       (816,413 )                       54       22,606,430       (816,413 )
Total     66     $ 70,711,744     $ (1,900,119 )         $     $       66     $ 70,711,744     $ (1,900,119 )
Schedule of proceeds from sales of securities available for sale and gross realized gains and losses

We received proceeds from sales of securities available for sale and gross realized gains and losses as follows:

 

    For the Three Months Ended June 30,  
    2017     2016  
Gross proceeds   $     $ 5,135,609  
Gross realized gains           160,391  
Gross realized losses            

 

    For the Six Months Ended June 30,  
    2017     2016  
Gross proceeds   $     $ 21,113,400  
Gross realized gains           348,327  
Gross realized losses