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Fair Value (Tables)
12 Months Ended
Dec. 31, 2012
Fair Value Disclosures [Abstract]  
Schedule Of Carrying Amount and Fair Values Of Financial Instruments [Table Text Block]

The following is a summary of the carrying values and fair values of the Company’s significant financial instruments as of December 31, 2012 and 2011:

 

  2012  2011 
  Carrying     Carrying    
(In thousands) Amount  Fair Value  Amount  Fair Value 
             
Financial Assets                
Cash and cash equivalents $23,229  $23,229  $18,069  $18,069 
Investment securities  49,003   49,591   50,343   50,721 
Loans held for sale  2,761   2,761   2,993   2,993 
Loans receivable, net  417,613   433,876   466,965   492,446 
Accrued income receivable  1,761   1,761   1,932   1,932 
Mortgage-servicing rights  1,039   1,633   700   742 
                 
Financial Liabilities                
Deposits $402,902  $405,560  $410,887  $409,357 
Borrowed funds  47,870   48,851   70,817   72,757 
Mortgagors' escrow accounts  4,628   4,628   4,755   4,755