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FAIR VALUES OF FINANCIAL INSTRUMENTS (Tables)
9 Months Ended
Sep. 30, 2013
FAIR VALUES OF FINANCIAL INSTRUMENTS [Abstract]  
Estimated fair value of financial instruments
The estimated fair values of the Company’s financial instruments for the periods ended September 30, 2013 and December 31, 2012 are approximately as follows:
 
      
September 30, 2013
  
December 31, 2012
 
   
Level
  
Carrying amount
  
Fair
value
  
Carrying amount
  
Fair
value
 
                 
Financial assets:
               
Cash and cash equivalents
  1  $149,944  $149,944  $161,359  $161,359 
Other equity securities
  2   3,717   3,717   3,607   3,607 
Loans receivable:
                    
Net loans
  3   497,256   494,200   440,449   437,818 
Loans held-for-sale
  2   1,791   1,803   4,559   4,704 
Interest receivable
  2   2,762   2,762   2,542   2,542 
Financial liabilities:
                    
Deposits
  3   783,514   771,675   730,811   720,690 
Interest payable
  2   84   84   94   94