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SECURITIES (Tables)
3 Months Ended
Jun. 30, 2013
Accounting Policies [Abstract]  
Composition of securities

(in thousands)   Amortized
cost (1)
  Gross un-
realized gains
  Gross un-realized losses   Fair value
June 30, 2013                                
Available-for-sale                                
U.S. Treasury notes   $ 2,496     $ 187     $     $ 2,683  
U.S. Government Agency notes     2,511       154             2,665  
Municipal bonds     44,066       1,082       (1,183 )     43,965  
Mortgage backed securities                                
 U.S. Government Agencies     39,528       622       (48 )     40,102  
Collateralized mortgage obligations                                
 U.S. Government Agencies     4,220       54             4,274  
 Non-agency     9,449       485       (21 )     9,913  
SBA bonds     2,418       102             2,520  
Preferred Stock     20       468             488  
 Total securities available-for-sale   $ 104,708     $ 3,154     $ (1,252 )   $ 106,610  
Non-marketable securities                                
Federal Home Loan Bank of Boston stock   $ 5,340     $     $     $ 5,340  

 

(in thousands)   Amortized
cost (1)
  Gross un-
realized gains
  Gross un-realized losses   Fair value
December 31, 2012                                
Available-for-sale                                
U.S. Treasury notes   $ 2,496     $ 237     $     $ 2,733  
U.S. Government Agency notes     7,515       211             7,726  
Municipal bonds     45,395       2,138       (168 )     47,365  
Mortgage backed securities                                
 U.S. Government Agencies     47,465       1,284       (20 )     48,729  
Collateralized mortgage obligations                                
 U.S. Government Agencies     5,131       66             5,197  
 Non-agency     11,081       494       (68 )     11,507  
SBA bonds     2,781       82             2,863  
Preferred Stock     20       147             167  
 Total securities available-for-sale   $ 121,884     $ 4,659     $ (256 )   $ 126,287  
Non-marketable securities                                
Federal Home Loan Bank of Boston stock   $ 5,747     $     $     $ 5,747  

Aggregate fair value and gross unrealized loss of securities
    Less than 12 Months   12 Months or Longer   Total
(in thousands)   Fair
Value
  Unrealized losses   Fair
Value
  Unrealized losses   Fair
Value
  Unrealized losses
  June 30, 2013                        
Available-for-sale                                                
Municipal Bonds   $ 11,454     $ 688     $ 2,039     $ 495     $ 13,493     $ 1,183  
Mortgage backed securities     4,769       47       42       1       4,811       48  
Collateralized mortgage obligations                                                
  Non-agency     1,036       6       335       15       1,371       21  
Total temporarily impaired securities     17,259       741       2,416       511       19,675       1,252  
Other-than-temporarily impaired securities                                                
Collateralized mortgage obligations                                                
Non-agency                                    
Total temporarily and other-than-temporarily impaired securities   $ 17,259     $ 741     $ 2,416     $ 511     $ 19,675     $ 1,252  

Activity related to credit losses recognized in earnings

   Six months ended June 30 (in thousands)   2013     2012  
 Balance, beginning of period   $ 1,128     $ 1,128  
Credit component on debt securities in which OTTI was not previously recognized            
 Balance, end of period   $ 1,128     $ 1,128