XML 26 R16.htm IDEA: XBRL DOCUMENT v3.4.0.3
AVAILABLE-FOR-SALE SECURITIES (Tables)
3 Months Ended
Mar. 31, 2016
Investments, Debt and Equity Securities [Abstract]  
Schedule of carrying amount of securities and fair values
    Gross     Gross     Gross        
    Amortized     Unrealized     Unrealized        
    Cost     Gains     Losses     Fair Value  
                         
March 31, 2016                                
Available-for-sale securities                                
Mortgage-backed securities   $ 24,309,721     $ 103,826     $ (141,879 )   $ 24,271,668  
U.S. Government agencies     3,274,868       32,999       (5,249 )     3,302,618  
Municipal obligations     1,887,094       20,592       (653 )     1,907,033  
                                 
    $ 29,471,683     $ 157,417     $ (147,781 )   $ 29,481,319  
                                 
December 31, 2015                                
Available-for-sale securities                                
Mortgage-backed securities   $ 23,449,558     $ 52,498     $ (231,560 )   $ 23,270,496  
U.S. Government agencies     3,498,469       10,429       (50,085 )     3,458,813  
Municipal obligations     1,898,571       3,317       (646 )     1,901,242  
                                 
    $ 28,846,598     $ 66,244     $ (282,291 )   $ 28,630,551
Schedule of proceeds from sale of available-for-sale securities and resulting net gains and net losses
    Three Months Ended March 31,  
    2016     2015  
             
Proceeds from sale   $ -     $ 2,286,200  
(Losses), net   $ -     $ (13,800 )
Schedule of maturities of available-for-sale securities
    March 31, 2016  
    Amortized     Fair  
    Cost     Value  
             
Due in one year or less   $ -     $ -  
Due after one to five years     28,207,821       28,193,363  
Due after five to ten years     1,263,862       1,287,956  
Due after ten years     -       -  
                 
Totals   $ 29,471,683     $ 29,481,319
Schedule of gross unrealized losses and fair values of securities by length of time that individual securities in each category have been in a continuous loss position
    March 31, 2016  
    Less Than 12 Months     12 Months or More     Total  
          Gross           Gross           Gross  
Description of         Unrealized           Unrealized           Unrealized  
Securities   Fair Value     Losses     Fair Value     Losses     Fair Value     Losses  
                                     
Available-for-sale securities:                                                
Mortgage-backed securities   $ 3,556,124     $ (25,291 )   $ 8,423,645     $ (116,588 )   $ 11,979,769     $ (141,879 )
U.S. Government agencies     -       -       1,364,141       (5,249 )     1,364,141       (5,249 )
    Municipal obligations     35,300       (653 )     -       -       35,300       (653 )
                                                 
Total temporarily impaired securities   $ 3,591,424     $ (25,944 )   $ 9,787,786     $ (121,837 )   $ 13,379,210     $ (147,781 )

 

    December 31, 2015  
    Less Than 12 Months     12 Months or More     Total  
          Gross           Gross           Gross  
Description of         Unrealized           Unrealized           Unrealized  
Securities   Fair Value     Losses     Fair Value     Losses     Fair Value     Losses  
                                     
Available-for-sale securities:                                                
Mortgage-backed securities   $ 13,002,963     $ (133,816 )   $ 5,833,352     $ (97,744 )   $ 18,836,315     $ (231,560 )
U.S. Government agencies     1,242,250       (6,715 )     1,477,876       (43,370 )     2,720,126       (50,085 )
    Municipal obligations     35,541       (646 )     -       -       35,541       (646 )
                                                 
Total temporarily impaired securities   $ 14,280,754     $ (141,177 )   $ 7,311,228     $ (141,114 )   $ 21,591,982     $ (282,291 )