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FAIR VALUE MEASUREMENTS (Details 4) - USD ($)
$ in Thousands
Jun. 30, 2015
Jun. 30, 2014
Financial assets    
Securities available-for-sale $ 111,167 $ 103,806
Loans, net 1,157 $ 1,221
Loan servicing rights 1,396
Carrying Amount    
Financial assets    
Securities available-for-sale 111,167 $ 103,806
Loans, net 308,259 229,931
Loans held for sale [1] 118  
Loan servicing rights 1,396  
Restricted equity securities 440 325 [2]
Financial liabilities    
Deposits $ 394,184 $ 281,015
Level 1    
Financial assets    
Securities available-for-sale
Loans, net
Loans held for sale [1]  
Loan servicing rights  
Restricted equity securities [2]
Financial liabilities    
Deposits $ 137,618 $ 80,904
Level 2    
Financial assets    
Securities available-for-sale $ 111,167 $ 103,806
Loans, net
Loans held for sale [1]  
Loan servicing rights  
Restricted equity securities [2]
Financial liabilities    
Deposits $ 256,681 $ 200,662
Level 3    
Financial assets    
Securities available-for-sale
Loans, net $ 310,116 $ 233,176
Loans held for sale [1] 118  
Loan servicing rights $ 1,396  
Restricted equity securities [2]
Financial liabilities    
Deposits
Fair Value    
Financial assets    
Securities available-for-sale $ 111,167 $ 103,806
Loans, net 310,116 $ 233,176
Loans held for sale [1] 118  
Loan servicing rights $ 1,396  
Restricted equity securities [2]
Financial liabilities    
Deposits $ 394,299 $ 281,566
[1] Loans held for sale are carried at the lower of cost or fair value, which is evaluated on a pool-level basis. The fair value of loans held for sale is determined using quoted prices for similar assets, adjusted for specific attributes of that loan or other observable market data, such as outstanding commitments from third party investors and result in a Level 2 classification.
[2] It was not practicable to determine fair value of restricted equity securities due to restrictions placed on transferability.