XML 58 R43.htm IDEA: XBRL DOCUMENT v3.21.1
Securities - Schedule of Amortized Cost and Fair Value of Securities by Remaining Period to Contractual Maturity (Details) - USD ($)
Dec. 31, 2020
Dec. 31, 2019
Investments, Debt and Equity Securities [Abstract]    
Held to Maturity, Within one year, Amortized Cost
Held to Maturity, After one to five years, Amortized Cost
Held to Maturity, After five to ten years, Amortized Cost
Held to Maturity, After ten years, Amortized Cost 420,871 424,294
Held to Maturity, Amortized Cost 420,871 424,294
Held to maturity, Within one year, Fair Value
Held to maturity, After one to five years, Fair Value
Held to Maturity, After five to ten years, Fair Value
Held to Maturity, After ten years, Fair Value 441,825 441,420
Held to Maturity, Fair Value 442,000 441,000
Available for Sale, Within one year, Amortized Cost 6,499,847 499,851
Available for Sale, After one to five years, Amortized Cost 6,100,000 1,297,811
Available for Sale, After five to ten years, Amortized Cost 3,329,922 1,484,831
Available for Sale, After ten years, Amortized Cost 33,478,504 34,633,601
Available for Sale, Amortized Cost 49,408,273 37,916,094
Available for Sale, Within one year, Fair Value 6,499,910 499,866
Available for Sale, After one to five years, Fair Value 6,115,567 1,301,605
Available for Sale, After five to ten years, Fair Value 3,353,902 1,482,981
Available for Sale, After ten years, Fair Value 34,058,078 34,694,170
Available for Sale, Fair Value $ 50,027,457 $ 37,978,622