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Securities (Tables)
12 Months Ended
Dec. 31, 2014
Securities [Abstract]  
Schedule of Available for Sale Securities
 

Amortized
Cost


 

Gross
Unrealized
Gains


 

Gross
Unrealized
Losses


 

Approximate
Fair Value


Available-for-sale securities (In thousands)

December 31, 2014:

           

U.S. government agencies

  $ 126   $   $   $ 126

Mortgage-backed securities of
           government-sponsored entities

  87,284   1,202   273   88,213

Private-label collateralized mortgage
            obligations

  491   11     502

State and political subdivisions

  19,174   992   38   20,128

Totals

  $ 107,075   $ 2,205   $ 311   $ 108,969
       
 

Amortized
Cost

 

Gross
Unrealized
Gains

 

Gross
Unrealized
Losses

 

Approximate
Fair Value

Available-for-sale securities

 

(In thousands)


December 31, 2013:

       

U.S. government agencies

  $ 137   $   $   $ 137

Mortgage-backed securities of
           government-sponsored entities

  79,901   1,177   721   80,357

Private-label collateralized mortgage
            obligations

  675   29     704

State and political subdivisions

  22,116   547   236   22,427

Totals

  $ 102,829   $ 1,753   $ 957   $ 103,625
Schedule of Held To Maturity Securities
 

Amortized
Cost


 

Gross
Unrealized
Gains


 

Gross
Unrealized
Losses


 

Approximate
Fair Value


Held-to-maturity Securities: (In thousands)

December 31, 2014:

           

U.S. government agencies

  $ 100   $   $   $ 100

Mortgage-backed securities of
           government-sponsored entities

  1,332   22     1,354

State and political subdivisions

  5,557   7   181   5,383

Totals

  $ 6,989   $ 29   $ 181   $ 6,837
       
 

Amortized
Cost

 

Gross
Unrealized
Gains

 

Gross
Unrealized
Losses

 

Approximate
Fair Value

Held-to-maturity Securities: (In thousands)

December 31, 2013:

       

U.S. government agencies

  $ 109   $   $   $ 109

Mortgage-backed securities of
           government-sponsored entities

  1,390   11   21   1,380

State and political subdivisions

  5,124     492   4,632

Totals

  $ 6,623   $ 11   $ 513   $ 6,121
Schedule of Expected Maturities of Available for Sale and Held To Maturity Securities
 

Available-for-sale


 

Held-to-maturity


 

Amortized
cost


 

Fair Value


 

Amortized
cost


 

Fair Value


(In thousands)

     One to five years

  $ 5,132   $ 5,368   $   $

     Five to ten years

  2,676   2,752   3,052   2,995

     After ten years

  11,492   12,134   2,605   2,488
  19,300   20,254   5,657   5,483
       

     Mortgage-backed securities of
          government-sponsored entities

  87,284   88,213   1,332   1,354

     Private-label collateralized mortgage
          obligations

  491   502    
       

Totals

  $ 107,075   $ 108,969   $ 6,989   $ 6,837
Schedule of Securities in a Gross Unrealized Loss Position

December 31, 2014

 

Less than 12 Months


 

More than 12 Months


 

Total


 

Fair Value


 

Unrealized
Losses


 

Fair Value


 

Unrealized
Losses


 

Fair Value


 

Unrealized
Losses


(In thousands)

Mortgage-backed securities
     of government-sponsored entities

  $ 22,443   $ 118   $ 13,947   $ 155   $ 36,390   $ 273

State and political
     subdivisions

  1,082   3   5,421   216   6,503   219

Total temporarily impaired
     securities

  $ 23,525   $ 121   $ 19,368   $ 371   $ 42,893   $ 492
           
 

December 31, 2013


 

Less than 12 Months


 

More than 12 Months


 

Total


 

Fair Value

 

Unrealized
Losses

 

Fair Value

 

Unrealized
Losses

 

Fair Value

 

Unrealized
Losses

 

(In thousands)


Mortgage-backed securities
     of government-sponsored entities

  $ 36,004   $ 575   $ 5,330   $ 167   $ 41,334   $ 742

State and political
     subdivisions

  8,639   555   1,519   173   10,158   728

Total temporarily impaired
     securities

  $ 44,643   $ 1,130   $ 6,849   $ 340   $ 51,492   $ 1,470