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Note 12 - Deposits (Tables)
12 Months Ended
Mar. 31, 2017
Notes Tables  
Summary of Deposits [Table Text Block]
 
 
March 31, 2017
 
 
March 31, 2016
 
   
Amount
   
% of Total
   
Amount
   
% of Total
 
Savings
 
$
44,614,415
 
 
 
11
%
  $
33,010,962
     
11
%
Noninterest-bearing checking
 
 
30,401,454
 
 
 
7
%
   
19,747,437
     
6
%
Interest-bearing checking
 
 
26,415,189
 
 
 
6
%
   
13,298,677
     
4
%
Money market accounts
 
 
62,962,902
 
 
 
15
%
   
52,576,567
     
17
%
Time deposits
 
 
247,632,742
 
 
 
60
%
   
195,031,411
     
62
%
 
 
$
412,026,702
 
 
 
100.0
%
  $
313,665,054
     
100
%
Premium on deposits asssumed
 
 
829,072
 
   
 
     
328,597
     
 
 
Total deposits
 
$
412,855,774
 
   
 
    $
313,993,651
     
 
 
Maturities of Time Deposits [Table Text Block]
Maturity period
 
2017
   
2016
 
                 
Within one year
 
$
124,859,888
    $
105,643,954
 
Over one year through two years
 
 
61,925,008
     
47,080,116
 
Over two years through three years
 
 
26,005,112
     
20,359,501
 
Over three years through four years
 
 
17,427,002
     
11,483,526
 
Over four years through five years
 
 
17,393,621
     
-
 
Greater than five years
 
 
22,111
     
10,464,315
 
 
 
$
247,632,742
    $
195,031,411