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Note 9: Fair Value of Financial Instruments: Schedule of Reconciliation of Beginning and Ending Balances of Recurring Fair Value Measurements Using Level 3 Inputs (Details) (Using Significant Other Unobservable Inputs (Level 3), USD $)
In Thousands, unless otherwise specified
3 Months Ended
Sep. 30, 2012
Sep. 30, 2011
Balance beginning of period
   
Private issue CMO $ 1,242 $ 1,367
Interest only strips 130 200
Loan Commitments to Originate 3,981 [1] 638 [1]
Mandatory Commitments (163) [2] 403 [2]
Option contracts 36 99
Total recurring fair value 5,226 2,707
Total gains or losses (realized/unrealized) included in earnings
   
Loan Commitments to Originate (3,981) [1] (638) [1]
Mandatory Commitments 163 [2] (403) [2]
Option contracts (36) (99)
Total recurring fair value (3,854) (1,140)
Total gains or losses (realized/unrealized) included in other comprehensive income
   
Private issue CMO 1 (42)
Interest only strips (13) (33)
Total recurring fair value (12) (75)
Purchases
   
Mandatory Commitments (1,114) [2] (130) [2]
Option contracts 65 142
Total recurring fair value (1,049) 12
Issuances
   
Loan Commitments to Originate 8,370 [1] 3,462 [1]
Total recurring fair value 8,370 3,462
Settlements
   
Private issue CMO (45) (37)
Total recurring fair value (45) (37)
Balance end of period
   
Private issue CMO 1,198 1,288
Interest only strips 117 167
Loan Commitments to Originate 8,370 [1] 3,462 [1]
Mandatory Commitments (1,114) [2] (130) [2]
Option contracts 65 142
Total recurring fair value $ 8,636 $ 4,929
[1] Consists of commitments to extend credit on loans to be held for sale.
[2] Consists of mandatory loan sale commitments.