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INVESTMENT SECURITIES (Details)
3 Months Ended 6 Months Ended
Jun. 30, 2015
USD ($)
security
Jun. 30, 2014
USD ($)
Jun. 30, 2015
USD ($)
security
Jun. 30, 2014
USD ($)
Dec. 31, 2014
USD ($)
Available-for-sale: [Abstract]          
Amortized cost $ 45,671,000   $ 45,671,000   $ 27,933,000
Gross unrealized gains 610,000   610,000   791,000
Gross unrealized losses 415,000   415,000   59,000
Other-than-temporary impairments in OCI 431,000   431,000   457,000
Investment securities available for sale, at fair value 45,435,000   45,435,000   28,208,000
Available-for-sale, amortized cost [Abstract]          
Due within one year 0   0    
Due after one year through five years 0   0    
Due after five years through ten years 0   0    
Due after ten years 1,306,000   1,306,000    
Residential mortgage-backed securities and collateralized mortgage obligations 44,365,000   44,365,000    
Total available-for-sale 45,671,000   45,671,000    
Available-for-sale, fair value [Abstract]          
Due within one year 0   0    
Due after one year through five years 0   0    
Due after five years through ten years 0   0    
Due after ten years 894,000   894,000    
Residential mortgage-backed securities and collateralized mortgage obligations 44,541,000   44,541,000    
Total available-for-sale securities 45,435,000   45,435,000   28,208,000
Available-for-sale [Abstract]          
Less Than 12 Months, Fair Value 20,464,000   20,464,000   3,968,000
Less Than 12 Months, Unrealized Losses 350,000   350,000   59,000
12 Months or Greater, Fair value 3,578,000   3,578,000   0
12 Months or Greater, Unrealized Losses 65,000   65,000   0
Total, Fair Value 24,042,000   24,042,000   3,968,000
Total, Unrealized Losses 415,000   415,000   59,000
Held to maturity: [Abstract]          
Amortized cost 2,161,000   2,161,000   2,141,000
Total held to maturity fair value 2,406,000   2,406,000   2,377,000
Held-to-maturity, amortized cost [Abstract]          
Due within one year 0   0    
Due after one year through five years 0   0    
Due after five years through ten years 0   0    
Due after ten years 2,161,000   2,161,000    
Amortized cost 2,161,000   2,161,000   2,141,000
Held-to-maturity, fair value [Abstract]          
Due within one year 0   0    
Due after one year through five years 0   0    
Due after five years through ten years 0   0    
Due after ten years 2,406,000   2,406,000    
Total held to maturity fair value 2,406,000   2,406,000   2,377,000
Fair value of securities pledged as collateral for borrowed funds 0   0   0
Fair value of securities pledged to secure public deposits 12,900,000   12,900,000   15,000,000
Changes in the credit loss component of credit-impaired debt securities [Roll Forward]          
Beginning balance     171,000 $ 1,126,000  
Initial credit impairment     0 0  
Subsequent credit impairments     0 0  
Reductions for amounts recognized in earnings due to intent or requirement to sell     0 0  
Reductions for securities sold     0 (955,000)  
Reductions for securities deemed worthless     0 0  
Reductions for increases in cash flows expected to be collected     0 0  
Ending balance 171,000 $ 171,000 171,000 $ 171,000  
Changes in the credit loss component of credit-impaired debt securities $ 0 $ 0      
Number of security sold during period | security 3        
Gain on sale of investments security     178,000    
Corporate debt obligations          
Available-for-sale: [Abstract]          
Amortized cost $ 500,000   500,000   500,000
Gross unrealized gains 20,000   20,000   22,000
Gross unrealized losses 0   0   0
Other-than-temporary impairments in OCI 0   0   0
Investment securities available for sale, at fair value 520,000   520,000   522,000
Available-for-sale, fair value [Abstract]          
Total available-for-sale securities 520,000   520,000   522,000
Residential mortgage-backed securities          
Available-for-sale: [Abstract]          
Amortized cost 44,063,000   44,063,000   26,252,000
Gross unrealized gains 579,000   579,000   754,000
Gross unrealized losses 415,000   415,000   59,000
Other-than-temporary impairments in OCI 0   0   0
Investment securities available for sale, at fair value 44,227,000   44,227,000   26,947,000
Available-for-sale, fair value [Abstract]          
Total available-for-sale securities 44,227,000   44,227,000   26,947,000
Available-for-sale [Abstract]          
Less Than 12 Months, Fair Value 20,464,000   20,464,000   3,968,000
Less Than 12 Months, Unrealized Losses 350,000   350,000   59,000
12 Months or Greater, Fair value 3,578,000   3,578,000   0
12 Months or Greater, Unrealized Losses 65,000   65,000   0
Total, Fair Value 24,042,000   24,042,000   3,968,000
Total, Unrealized Losses $ 415,000   $ 415,000   59,000
Collateralized Debt Obligations [Abstract]          
Number of securities issued | security 7   7    
Collateralized mortgage obligations          
Available-for-sale: [Abstract]          
Amortized cost $ 302,000   $ 302,000   375,000
Gross unrealized gains 11,000   11,000   15,000
Gross unrealized losses 0   0   0
Other-than-temporary impairments in OCI 0   0   0
Investment securities available for sale, at fair value 313,000   313,000   390,000
Available-for-sale, fair value [Abstract]          
Total available-for-sale securities 313,000   313,000   390,000
Collateralized debt obligations          
Available-for-sale: [Abstract]          
Amortized cost 806,000   806,000   806,000
Gross unrealized gains 0   0   0
Gross unrealized losses 0   0   0
Other-than-temporary impairments in OCI 431,000   431,000   457,000
Investment securities available for sale, at fair value 375,000   375,000   349,000
Available-for-sale, fair value [Abstract]          
Total available-for-sale securities 375,000   375,000   349,000
States and political subdivisions          
Held to maturity: [Abstract]          
Amortized cost 2,161,000   2,161,000   2,141,000
Gross unrealized gains 245,000   245,000   236,000
Gross unrealized losses 0   0   0
Other-than-temporary impairments in OCI 0   0   0
Total held to maturity fair value 2,406,000   2,406,000   2,377,000
Held-to-maturity, amortized cost [Abstract]          
Amortized cost 2,161,000   2,161,000   2,141,000
Held-to-maturity, fair value [Abstract]          
Total held to maturity fair value $ 2,406,000   $ 2,406,000   $ 2,377,000