XML 52 R30.htm IDEA: XBRL DOCUMENT v2.4.1.9
Note 2 - Securities (Tables)
12 Months Ended
Dec. 31, 2014
Note 2 - Securities (Tables) [Line Items]  
Schedule of Available-for-sale Securities Reconciliation [Table Text Block]
   

Amortized Cost

   

Gross

Unrealized

Gains

   

Gross

Unrealized

(Losses)

   

Approximate

Fair Value

 

As of December 31, 2014

                               

Equity Securities

  $ 102,212     $ 16,121     $ (13,310 )   $ 105,023  

Debt Securities:

                               

U. S. government agencies

    10,528,055       -       (271,282 )     10,256,773  

Municipals

    15,474,316       185,747       (70,173 )     15,589,890  

Government sponsored mortgage-backed securities and SBA loan pools

    61,075,181       235,977       (794,859 )     60,516,299  
    $ 87,179,764     $ 437,845     $ (1,149,624 )   $ 86,467,985  
   

Amortized

. Cost

   

Gross

Unrealized

Gains

   

Gross

Unrealized

(Losses)

   

Approximate

Fair Value

 

As of December 31, 2013

                               

Equity Securities

  $ 102,212     $ 16,007     $ (18,913 )   $ 99,306  

Debt Securities:

                               

U. S. government agencies

    33,198,865       -       (1,437,478 )     31,761,387  

Municipals

    14,133,821       18,827       (660,021 )     13,492,627  

Corporates

    990,663       3,609       -       994,272  

Government sponsored mortgage-backed securities

    53,245,297       265,038       (2,165,242 )     51,345,093  
    $ 101,670,858     $ 303,481     $ (4,281,654 )   $ 97,692,685  
Available-for-sale Securities [Table Text Block]
   

Amortized

Cost

   

Approximate

Fair Value

 

1-5 years

  $ 6,508,809     $ 6,415,929  

5-10 years

    10,631,947       10,438,272  

After ten years

    8,861,614       8,992,462  

Government sponsored mortgage-backed securities and SBA loan pools not due on a single maturity date

    61,075,181       60,516,299  
    $ 87,077,551     $ 86,362,962  
Held-to-maturity Securities [Table Text Block]
   

Amortized

Cost

   

Gross

Unrealized

Gains

   

Gross

Unrealized

(Losses)

   

Approximate

Fair Value

 

As of December 31, 2014

                               

Debt Securities:

                               

Government sponsored mortgage-backed securities

  $ 60,993     $ 1,626     $ -     $ 62,619  
   

Amortized

Cost

   

Gross

Unrealized

Gains

   

Gross

Unrealized

(Losses)

   

Approximate

Fair Value

 

As of December 31, 2013

                               

Debt Securities:

                               

Government sponsored mortgage-backed securities

  $ 79,162     $ 1,927     $ -     $ 81,089  
Schedule of Unrealized Loss on Investments [Table Text Block]
   

December 31, 2014

 
       
   

Less than 12 Months

   

12 Months or More

   

Total

 

Description of Securities

 

Fair Value

   

Unrealized

Losses

   

Fair Value

   

Unrealized

Losses

   

Fair Value

   

Unrealized

Losses

 
                                                 

Equity Securities

  $ -     $ -     $ 34,618     $ (13,310 )   $ 34,618     $ (13,310 )

U. S. government agencies

    -       -       10,256,773       (271,282 )     10,256,773       (271,282 )

Municipals

    2,677,626       (7,692 )     5,859,560       (62,481 )     8,537,186       (70,173 )

Government sponsored mortgage-backed securities and SBA loan pools

    12,703,301       (70,049 )     29,201,313       (724,810 )     41,904,614       (794,859 )
    $ 15,380,927     $ (77,741 )   $ 45,352,264     $ (1,071,883 )   $ 60,733,191     $ (1,149,624 )
   

December 31, 2013

 
       
   

Less than 12 Months

   

12 Months or More

   

Total

 

Description of Securities

 

Fair Value

   

Unrealized

Losses

   

Fair Value

   

Unrealized

Losses

   

Fair Value

   

Unrealized

Losses

 
                                                 

Equity Securities

  $ -     $ -     $ 29,014     $ (18,913 )   $ 29,014     $ (18,913 )

U. S. government agencies

    24,731,730       (916,208 )     7,029,657       (521,270 )     31,761,387       (1,437,478 )

Municipals

    10,460,662       (534,440 )     1,701,215       (125,581 )     12,161,877       (660,021 )

Government sponsored mortgage-backed securities

    32,074,646       (1,655,296 )     9,685,143       (509,946 )     41,759,789       (2,165,242 )
    $ 67,267,038     $ (3,105,944 )   $ 18,445,029     $ (1,175,710 )   $ 85,712,067     $ (4,281,654 )
Held to Maturity Maturities [Member]  
Note 2 - Securities (Tables) [Line Items]  
Held-to-maturity Securities [Table Text Block]
   

Amortized

Cost

   

Approximate

Fair Value

 

Government sponsored mortgage-backed securities not due on a single maturity date

  $ 60,993     $ 62,619