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Securities (Tables)
12 Months Ended
Dec. 31, 2015
Securities [Abstract]  
Schedule of Amortized Cost and Fair Values of Securities Available For Sale

December 31, 2015   Amortized   Gross Unrealized   Gross Unrealized     Fair

  Cost   Gains   (Losses)     Value
U.S. Government agencies   $ 11,260
  $ 137
  $ (19)     $ 11,378
Corporate bonds   6,027
  -
  (63)   5,964
Mortgage-backed securities/CMOs    
37,077
  60
  (450)   36,687
Municipal bonds     20,615
  250
  (93)     20,772
    $ 74,979
  $ 447
  $ (625)   $ 74,801


December 31, 2014   Amortized   Gross Unrealized   Gross Unrealized     Fair

  Cost   Gains   (Losses)     Value
U.S. Government agencies   $ 31,189   $ 395   $ (56)     $ 31,528
Corporate bonds   21,373   21   (118)   21,276
Asset-backed securities     2,133   -   (28)     2,105
Mortgage-backed securities/CMOs    
63,327   297   (404)   63,220
Municipal bonds     23,727   157   (197)     23,687
    $ 141,749   $ 870   $ (803)   $ 141,816


Schedule of Unrealized Losses in the Bank's Securities Portfolio
December 31, 2015            


             

  Less than 12 Months   12 Months or more     Total
 
  Unrealized    
  Unrealized    


  Unrealized
  Fair Value   Losses     Fair Value   Losses     Fair Value   Losses
U.S. Government agencies     $ -
  $     $ 980
  $ (19)     $ 980
  $ (19)
Corporate bonds   5,964
  (63)   -
  -   5,964
  (63)
Mortgage-backed/CMOs   21,003


(212)


9,504


(238)


30,507


(450)
Municipal bonds     2,788


(31)


1,908


(62)


4,696


(93)
    $ 29,755

$ (306)

$ 12,392

$ (319)

$ 42,147

$ (625)


             
December 31, 2014            


             

        Less than 12 Months      12 Months or more      Total 
   
  Unrealized    
  Unrealized    
  Unrealized
    Fair Value   Losses      Fair Value   Losses     Fair Value   (Losses)
U.S. Government agencies     $ 6,375   $ (21)     $ 966   $ (35)     $ 7,341   $ (56)
Corporate bonds   13,213   (102)   3,032   (16)   16,245   (118)
Asset-backed securities     98   -
  2,007   (28)     2,105   (28)
Mortgage-backed/CMOs   6,276   (35)   25,081   (369)   31,357   (404)
Municipal bonds     1,769   (19)     10,330   (178)     12,099   (197)
    $ 27,731   $ (177)   $ 41,416   $ (626)   $ 69,147   $ (803)
Schedule of Amortized Cost and Fair Values of Securities Available For Sale Based upon Contractual Maturities and by Major Investment Categories
  Amortized Cost   Fair Value
U.S. Government agencies      
One year or less   $ 5,007
  $ 5,028
After one year to five years   3,309
  3,367
   After five years to ten years   2,944   2,983
    $ 11,260
  $ 11,378
Corporate bonds      
   After one year to five years   $ 4,040
  $ 4,012
   After five years to ten years     1,987
  1,952
    $ 6,027
  $ 5,964
Mortgage-backed securities/CMOs    
 
      After one year to five years     $ 555   $ 548
     After five years to ten years  
9,969
 
9,892
     Ten years or more     26,553
  26,247
    $ 37,077
  $ 36,687
Municipal bonds    
 
      One year or less     $ 105   $ 105
     After one year to five years    
2,097
 
2,110
     After five years to ten years   11,286
  11,427
     Ten years or more     7,127
  7,130
    $ 20,615
  $ 20,772
Total Securities Available for Sale     $ 74,979
  $ 74,801