XML 40 R28.htm IDEA: XBRL DOCUMENT v3.6.0.2
Deposits (Tables)
12 Months Ended
Dec. 31, 2016
Deposits [Abstract]  
Schedule of components of deposits
    2016     2015  
    (In Thousands)  
             
Non-interest bearing   $ 8,423     $ 6,974  
NOW accounts     29,725       28,751  
Regular savings, tax escrow and demand clubs     26,655       27,306  
Money market     30,123       21,029  
Individual retirement accounts     6,975       8,252  
Certificates of deposit     81,033       93,249  
                 
    $ 182,934     $ 185,561  
Schedule of certificates of deposit have scheduled maturities
2017   63,383  
2018     18,931  
2019     1,947  
2020     2,029  
2021     1,718  
         
    88,008  
Schedule of interest expense on deposits
    2016     2015  
    (In Thousands)  
             
NOW accounts   $ 74     $ 36  
Regular savings and demand clubs     102       127  
Money market     100       63  
Individual retirement accounts     64       105  
Certificates of deposit     1,096       921  
                 
    $ 1,436     $ 1,252