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Accounting for Certain Loans Acquired in a Transfer (Tables)
12 Months Ended
Dec. 31, 2012
Accounting For Certain Loans Acquired In Transfer [Abstract]  
Schedule of carrying amount loans
 
Residential real estate
     
 
Construction
  $  
 
One-to-four family residential
    2,149  
 
Multi-family residential
    685  
 
Nonresidential real estate and agricultural land
    1,523  
 
Land and land development
    750  
 
Commercial
    64  
 
Consumer and other
    51  
 
Outstanding balance of acquired credit impaired loans
    5,222  
           
 
Fair value adjustment for credit impaired loans
    (2,119 )
           
 
Carrying balance of acquired credit impaired loans
  $ 3,103  
Schedule of accretable yield or income expected to be collected
 
 
Balance at January 1, 2012
  $  
 
Additions
    750  
 
Accretion
    (77 )
 
Reclassification from non accretable difference
     
 
Disposals
     
 
Balance at December 31, 2012
  $ 673  
 
Schedule of loans acquired
Contractually required payments receivable at acquisition:
     
 
Residential real estate
     
 
Construction
  $  
 
One-to-four family residential
    2,193  
 
Multi-family residential
    687  
 
Nonresidential real estate and agricultural land
    1,530  
 
Land and land development
    750  
 
Commercial
    73  
 
Consumer and other
    52  
 
Total required payments receivable
  $ 5,285  
           
 
Cash flows expected to be collected at acquisition
  $ 3,838  
           
 
Basis in acquired loans at acquisition
  $ 3,088