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Fair Value Measurements (Details 2) (USD $)
In Thousands, unless otherwise specified
Sep. 30, 2012
Dec. 31, 2011
Summary of the Company's securities available-for-sale    
Amortized cost $ 53,052 $ 76,473
Gross unrealized gains 1,130 1,645
Gross unrealized losses (1) (8)
Estimated fair value 54,181 78,110
U.S. government obligations [Member]
   
Summary of the Company's securities available-for-sale    
Amortized cost 40,256 53,832
Gross unrealized gains 1,120 1,628
Gross unrealized losses      
Estimated fair value 41,376 55,460
Municipal securities [Member]
   
Summary of the Company's securities available-for-sale    
Amortized cost 10,778 20,613
Gross unrealized gains 7 7
Gross unrealized losses (1) (8)
Estimated fair value 10,784 20,612
Corporate bonds [Member]
   
Summary of the Company's securities available-for-sale    
Amortized cost 2,018 2,028
Gross unrealized gains 3 10
Gross unrealized losses      
Estimated fair value $ 2,021 $ 2,038