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Accounting for Certain Loans Acquired in a Transfer (Tables)
12 Months Ended
Dec. 31, 2014
Accounting For Certain Loans Acquired In Transfer [Abstract]  
Schedule of carrying amount of loans
 
 
December 31, 2014
   
 
December 31, 2013
 
Construction/Land
 
$
682
   
$
713
 
One-to-four family residential
   
 
1,400
     
 
1,812
 
Multi-family residential
   
 
-
     
 
685
 
Nonresidential real estate and agricultural land
   
 
568
     
 
1,124
 
Commercial
   
 
24
     
 
26
 
Consumer and other
   
 
29
     
 
38
 
Outstanding balance of acquired credit-impaired loans
   
 
2,703
     
 
4,398
 
                 
Fair value adjustment for credit-impaired loans
   
(830
)
   
(1,541
)
Carrying balance of acquired credit-impaired loans
 
$
1,873
   
$
2,857
 
Schedule of accretable yield or income expected to be collected
Balance at January 1, 2013
 
$
673
 
Additions
   
 
-
 
Accretion
   
(510
)
Reclassification from non-accretable difference
   
 
1,182
 
Disposals
   
 
-
 
Balance at December 31, 2013
 
$
1,345
 
         
Balance at January 1, 2014
 
$
1,345
 
Additions
   
 
-
 
Accretion
   
(380
)
Reclassification from non-accretable difference
   
 
297
 
Disposals
   
 
-
 
Balance at December 31, 2014
 
$
1,262
 
Schedule of loans acquired
Contractually required payments receivable at acquisition:
   
Construction/Land
 
$
750
 
One-to-four family residential
   
 
2,193
 
Multi-family residential
   
 
687
 
Nonresidential real estate and agricultural land
   
 
1,530
 
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