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Securities (Details) (USD $)
3 Months Ended 6 Months Ended
Jun. 30, 2014
Institute
Security
Jun. 30, 2014
Bond
Quarter
Security
Institute
Dec. 31, 2013
Amortized cost and fair value of securities available for sale, with unrealized gains and losses [Abstract]      
Total available-for-sale, Amortized $ 57,793,000 $ 57,793,000 $ 54,852,000
Gross Unrealized Gains 835,000 835,000 548,000
Gross Unrealized (Losses) (886,000) (886,000) (1,829,000)
Fair Value 57,742,000 57,742,000 53,571,000
Available-for-sale Securities, Amortized Cost [Abstract]      
Due in one year or less 2,238,000 2,238,000  
Due after one year through five years 9,155,000 9,155,000  
Due after five years through ten years 12,578,000 12,578,000  
Due after ten years 33,464,000 33,464,000  
Equity securities 358,000 358,000  
Total available-for-sale, Amortized 57,793,000 57,793,000 54,852,000
Available-for-sale Securities, Fair Value [Abstract]      
Due in one year or less 2,248,000 2,248,000  
Due after one year through five years 9,143,000 9,143,000  
Due after five years through ten years 13,015,000 13,015,000  
Due after ten years 32,976,000 32,976,000  
Equity securities 360,000 360,000  
Total Available-for-Sale, Fair Value 57,742,000 57,742,000 53,571,000
Impairment losses on securities   0  
Number of securities sold   0  
Number of securities called   3  
Fair Value Of Securities Called   2,570,000  
Fair Value of Securities Sold   0  
Number of Securities Purchased   8  
Fair Value of Securities Purchased   7,957,000  
Securities with gross unrealized losses and fair value in a continuous unrealized loss position [Abstract]      
Less than 12 months, fair value 6,524,000 6,524,000 28,912,000
Less than 12 months, unrealized (losses) (98,000) (98,000) (555,000)
12 months or more, fair value 16,958,000 16,958,000 3,524,000
12 months or more, unrealized (losses) (788,000) (788,000) (1,274,000)
Total, fair value 23,482,000 23,482,000 32,436,000
Total, unrealized (losses) (886,000) (886,000) (1,829,000)
Number of temporarily impaired securities 3 3  
Number of different financial institutions per bond 62 62  
Estimated maturity   19 years 9 months 18 days  
Anniversary on which securities could have been called at par   5 years  
Frequency of re-pricing   3 months  
Bonds classified as nonperforming   1  
Fair value of bonds classified as nonperforming 1,222,000 1,222,000  
Bonds classified as performing   2  
Fair value of bonds classified as performing 1,773,000 1,773,000  
Number of consecutive quarters that the bond has been performing   7  
Interest Income Performing Bonds 104,000    
Deferred Interest Income Performing Bonds 79,000    
Additional information regarding each of the pooled trust preferred securities [Abstract]      
Cost, net of OTTI loss 57,793,000 57,793,000 54,852,000
Fair Value 57,742,000 57,742,000 53,571,000
Cumulative amount of OTTI Loss 1,396,000 1,396,000  
Cumulative Other Comprehensive Loss, net of tax benefit 373,000 373,000  
Amount related to credit losses recognized in earnings [Roll Forward]      
Beginning balance   1,433,000  
Add: Amount related to the credit loss for which an other-than-temporary impairment was not previously recognized   0  
Add: Increases to the amount related to the credit loss for which an other-than temporary impairment was previously recognized   0  
Less: Realized losses for securities sold   0  
Less: Securities for which the amount previously recognized in other comprehensive income was recognized in earnings because the Company intends to sell the security or more likely than not will be required to sell the security before recovery of its amortized cost basis   0  
Less: Increases in cash flows expected to be collected that are recognized over the remaining life of the security (See FASB ASC 320-10-35-35)   (37,000)  
Ending balance 1,396,000 1,396,000  
Carrying value of securities pledged 40,500,000 40,500,000 37,500,000
Pooled trust preferred securities [Member]
     
Amortized cost and fair value of securities available for sale, with unrealized gains and losses [Abstract]      
Total available-for-sale, Amortized 3,561,000 3,561,000  
Fair Value 2,995,000 2,995,000  
Available-for-sale Securities, Amortized Cost [Abstract]      
Total available-for-sale, Amortized 3,561,000 3,561,000  
Available-for-sale Securities, Fair Value [Abstract]      
Total Available-for-Sale, Fair Value 2,995,000 2,995,000  
Securities with gross unrealized losses and fair value in a continuous unrealized loss position [Abstract]      
12 months or more, unrealized (losses) (566,000) (566,000)  
Additional information regarding each of the pooled trust preferred securities [Abstract]      
Cost, net of OTTI loss 3,561,000 3,561,000  
Fair Value 2,995,000 2,995,000  
Pooled trust preferred securities II [Member]
     
Amortized cost and fair value of securities available for sale, with unrealized gains and losses [Abstract]      
Total available-for-sale, Amortized 1,624,000 1,624,000  
Fair Value 1,180,000 1,180,000  
Available-for-sale Securities, Amortized Cost [Abstract]      
Total available-for-sale, Amortized 1,624,000 1,624,000  
Available-for-sale Securities, Fair Value [Abstract]      
Total Available-for-Sale, Fair Value 1,180,000 1,180,000  
Additional information regarding each of the pooled trust preferred securities [Abstract]      
Cost, net of OTTI loss 1,624,000 1,624,000  
Fair Value 1,180,000 1,180,000  
Percent of Underlying Collateral Performing (in hundredths) 77.70% 77.70%  
Percent of Underlying Collateral in Deferral (in hundredths) 5.70% 5.70%  
Percent of Underlying Collateral in Default (in hundredths) 16.60% 16.60%  
Estimated incremental defaults required to break yield percentage 15.80% [1] 15.80% [1]  
Cumulative amount of OTTI Loss 333,000 333,000  
Cumulative Other Comprehensive Loss, net of tax benefit 293,000 293,000  
Pooled trust preferred securities III [Member]
     
Amortized cost and fair value of securities available for sale, with unrealized gains and losses [Abstract]      
Total available-for-sale, Amortized 1,351,000 1,351,000  
Fair Value 1,222,000 1,222,000  
Available-for-sale Securities, Amortized Cost [Abstract]      
Total available-for-sale, Amortized 1,351,000 1,351,000  
Available-for-sale Securities, Fair Value [Abstract]      
Total Available-for-Sale, Fair Value 1,222,000 1,222,000  
Additional information regarding each of the pooled trust preferred securities [Abstract]      
Cost, net of OTTI loss 1,351,000 1,351,000  
Fair Value 1,222,000 1,222,000  
Percent of Underlying Collateral Performing (in hundredths) 73.20% 73.20%  
Percent of Underlying Collateral in Deferral (in hundredths) 18.50% 18.50%  
Percent of Underlying Collateral in Default (in hundredths) 8.30% 8.30%  
Estimated incremental defaults required to break yield percentage 3.60% 3.60%  
Cumulative amount of OTTI Loss 649,000 649,000  
Cumulative Other Comprehensive Loss, net of tax benefit 84,000 84,000  
Pooled trust preferred securities IV [Member]
     
Amortized cost and fair value of securities available for sale, with unrealized gains and losses [Abstract]      
Total available-for-sale, Amortized 586,000 586,000  
Fair Value 593,000 593,000  
Available-for-sale Securities, Amortized Cost [Abstract]      
Total available-for-sale, Amortized 586,000 586,000  
Available-for-sale Securities, Fair Value [Abstract]      
Total Available-for-Sale, Fair Value 593,000 593,000  
Additional information regarding each of the pooled trust preferred securities [Abstract]      
Cost, net of OTTI loss 586,000 586,000  
Fair Value 593,000 593,000  
Percent of Underlying Collateral Performing (in hundredths) 79.20% 79.20%  
Percent of Underlying Collateral in Deferral (in hundredths) 12.90% 12.90%  
Percent of Underlying Collateral in Default (in hundredths) 7.90% 7.90%  
Estimated incremental defaults required to break yield percentage 18.80% 18.80%  
Cumulative amount of OTTI Loss 414,000 414,000  
Cumulative Other Comprehensive Loss, net of tax benefit (4,000) (4,000)  
Obligations of U.S. Government Corporations and Agencies [Member]
     
Amortized cost and fair value of securities available for sale, with unrealized gains and losses [Abstract]      
Total available-for-sale, Amortized 47,096,000 47,096,000 44,193,000
Gross Unrealized Gains 430,000 430,000 287,000
Gross Unrealized (Losses) (314,000) (314,000) (543,000)
Fair Value 47,212,000 47,212,000 43,937,000
Available-for-sale Securities, Amortized Cost [Abstract]      
Total available-for-sale, Amortized 47,096,000 47,096,000 44,193,000
Available-for-sale Securities, Fair Value [Abstract]      
Total Available-for-Sale, Fair Value 47,212,000 47,212,000 43,937,000
Securities with gross unrealized losses and fair value in a continuous unrealized loss position [Abstract]      
Less than 12 months, fair value 6,524,000 6,524,000 27,557,000
Less than 12 months, unrealized (losses) (98,000) (98,000) (543,000)
12 months or more, fair value 13,983,000 13,983,000 0
12 months or more, unrealized (losses) (216,000) (216,000) 0
Total, fair value 20,507,000 20,507,000 27,557,000
Total, unrealized (losses) (314,000) (314,000) (543,000)
Additional information regarding each of the pooled trust preferred securities [Abstract]      
Cost, net of OTTI loss 47,096,000 47,096,000 44,193,000
Fair Value 47,212,000 47,212,000 43,937,000
Obligations of States and Political Subdivisions [Member]
     
Amortized cost and fair value of securities available for sale, with unrealized gains and losses [Abstract]      
Total available-for-sale, Amortized 6,778,000 6,778,000 6,781,000
Gross Unrealized Gains 397,000 397,000 261,000
Gross Unrealized (Losses) 0 0 (7,000)
Fair Value 7,175,000 7,175,000 7,035,000
Available-for-sale Securities, Amortized Cost [Abstract]      
Total available-for-sale, Amortized 6,778,000 6,778,000 6,781,000
Available-for-sale Securities, Fair Value [Abstract]      
Total Available-for-Sale, Fair Value 7,175,000 7,175,000 7,035,000
Securities with gross unrealized losses and fair value in a continuous unrealized loss position [Abstract]      
Less than 12 months, fair value 0 0 1,001,000
Less than 12 months, unrealized (losses) 0 0 (7,000)
12 months or more, fair value 0 0 0
12 months or more, unrealized (losses) 0 0 0
Total, fair value 0 0 1,001,000
Total, unrealized (losses) 0 0 (7,000)
Additional information regarding each of the pooled trust preferred securities [Abstract]      
Cost, net of OTTI loss 6,778,000 6,778,000 6,781,000
Fair Value 7,175,000 7,175,000 7,035,000
Corporate Bonds [Member]
     
Amortized cost and fair value of securities available for sale, with unrealized gains and losses [Abstract]      
Total available-for-sale, Amortized 3,561,000 3,561,000 3,524,000
Gross Unrealized Gains 6,000 6,000 0
Gross Unrealized (Losses) (572,000) (572,000) (1,274,000)
Fair Value 2,995,000 2,995,000 2,250,000
Available-for-sale Securities, Amortized Cost [Abstract]      
Total available-for-sale, Amortized 3,561,000 3,561,000 3,524,000
Available-for-sale Securities, Fair Value [Abstract]      
Total Available-for-Sale, Fair Value 2,995,000 2,995,000 2,250,000
Securities with gross unrealized losses and fair value in a continuous unrealized loss position [Abstract]      
Less than 12 months, fair value 0 0 0
Less than 12 months, unrealized (losses) 0 0 0
12 months or more, fair value 2,975,000 2,975,000 3,524,000
12 months or more, unrealized (losses) (572,000) (572,000) (1,274,000)
Total, fair value 2,975,000 2,975,000 3,524,000
Total, unrealized (losses) (572,000) (572,000) (1,274,000)
Additional information regarding each of the pooled trust preferred securities [Abstract]      
Cost, net of OTTI loss 3,561,000 3,561,000 3,524,000
Fair Value 2,995,000 2,995,000 2,250,000
Mutual Funds [Member]
     
Amortized cost and fair value of securities available for sale, with unrealized gains and losses [Abstract]      
Total available-for-sale, Amortized 358,000 358,000 354,000
Gross Unrealized Gains 2,000 2,000 0
Gross Unrealized (Losses) 0 0 (5,000)
Fair Value 360,000 360,000 349,000
Available-for-sale Securities, Amortized Cost [Abstract]      
Total available-for-sale, Amortized 358,000 358,000 354,000
Available-for-sale Securities, Fair Value [Abstract]      
Total Available-for-Sale, Fair Value 360,000 360,000 349,000
Securities with gross unrealized losses and fair value in a continuous unrealized loss position [Abstract]      
Less than 12 months, fair value 0 0 354,000
Less than 12 months, unrealized (losses) 0 0 (5,000)
12 months or more, fair value 0 0 0
12 months or more, unrealized (losses) 0 0 0
Total, fair value 0 0 354,000
Total, unrealized (losses) 0 0 (5,000)
Additional information regarding each of the pooled trust preferred securities [Abstract]      
Cost, net of OTTI loss 358,000 358,000 354,000
Fair Value $ 360,000 $ 360,000 $ 349,000
[1] A break in yield for a given tranche investment means that defaults and/or deferrals have reached such a level that the specific tranche would not receive all of the contractual principal and interest cash flow by its maturity, resulting in not a temporary shortfall, but an actual loss. This column represents the percentage of additional defaults among the currently performing and deferred collateral that would