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Fair Value Disclosures (Details 2) (USD $)
Mar. 31, 2013
Dec. 31, 2012
Financial assets:    
Cash and cash equivalents, Carrying Amount $ 30,113,727 $ 20,252,112
Interest-bearing time deposits in banks, Carrying Amount 249,000 249,000
Securities available for sale, Carrying Amount 27,938,865 32,150,108
Investments, at cost, Carrying Amount 3,393,800 3,393,800
Loans, net, Carrying Amount 215,298,317 217,274,617
Cash surrender value of bank owned life insurance, Carrying Amount 9,586,383 9,512,171
Accrued interest receivable, Carrying Amount 993,368 914,361
Cash and cash equivalents, Estimated Fair Value 30,113,727 20,252,112
Interest-bearing time deposits in banks, Estimated Fair Value 249,000 249,000
Securities available for sale, Estimated Fair Value 27,938,865 32,150,108
Investments, at cost, Estimated Fair Value 3,393,800 3,393,800
Loans, net, Estimated Fair Value 216,488,896 218,911,770
Cash surrender value of bank owned life insurance, Estimated Fair Value 9,586,383 9,512,171
Accrued interest receivable, Estimated Fair Value 993,368 914,361
Financial liabilities:    
Deposits, Carrying Amount 240,693,566 234,248,103
Securities sold under agreements to repurchase, Carrying Amount 1,383,092 2,109,541
Federal Home Loan Bank advances, Carrying Amount 3,000,000 3,000,000
Accrued interest payable, Carrying Amount 153,692 158,299
Deposits, Estimated Fair Value 245,772,405 240,140,950
Securities sold under agreements to repurchase, Estimated Fair Value 1,383,092 2,109,541
Federal Home Loan Bank advances, Estimated Fair Value 3,043,019 3,073,288
Accrued interest payable, Estimated Fair Value 153,692 158,299
Carrying Amount
   
Unrecognized financial instruments (net of contract amount):    
Commitments to extend credit      
Letter of credit      
Lines of credit      
Estimated Fair Value
   
Unrecognized financial instruments (net of contract amount):    
Commitments to extend credit      
Letter of credit      
Lines of credit