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FAIR VALUES OF FINANCIAL INSTRUMENTS (Tables)
3 Months Ended
Mar. 31, 2016
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 March 31, 2016 and December 31, 2015 are approximately as follows:
 
 
    
March 31, 2016
  
December 31, 2015
 
 
 
Level
  
Carrying amount
  
Fair value
  
Carrying amount
  
Fair value
 
 
               
Financial assets:
               
Cash and cash equivalents
  
1
  
$
156,277
  
$
156,277
  
$
200,797
  
$
200,797
 
Certificates of deposit
  
2
   
16,649
   
16,678
   
16,649
   
16,635
 
Other equity securities
  
2
   
3,934
   
3,934
   
3,934
   
3,934
 
Loans receivable:
                    
Net loans
  
3
   
617,534
   
614,345
   
605,853
   
604,240
 
Loans held-for-sale
  
2
   
2,711
   
2,786
   
351
   
363
 
Interest receivable
  
2
   
3,312
   
3,312
   
3,127
   
3,127
 
Mortgage servicing rights
  
3
   
1,830
   
1,894
   
1,862
   
2,041
 
Financial liabilities:
                    
Deposits
  
3
   
958,936
   
917,843
   
948,114
   
902,872
 
Interest payable
  
2
   
86
   
86
   
73
   
73