XML 45 R14.htm IDEA: XBRL DOCUMENT v2.4.0.8
Investment Securities (Tables)
6 Months Ended
Jun. 30, 2014
Schedule of Investments [Abstract]  
Schedule of Securities Available for Sale Securities

The amortized cost of securities as shown in the consolidated balance sheets and their estimated fair values at June 30, 2014, and December 31, 2013, were as follows:

  

Securities Available For Sale:

 

June 30, 2014    

Amortized

Cost

     

Unrealized

Gains

     

Unrealized

Losses

     

Estimated

Fair Value

 
                                 
U.S. Government Agency securities   $ 41,480,003     $ 504,049     $ 419,640     $ 41,564,412  
State and municipal securities     883,677       0       25,254       858,423  
Residential mortgage-backed securities     7,373,772       406,216       10,157       7,769,831  
Corporate notes     2,495,520       2,860       375       2,498,005  
       Total securities AFS   $ 52,232,972     $ 913,125     $ 455,426     $ 52,690,671  

 

December 31, 2013    

Amortized

Cost

     

Unrealized

Gains

     

Unrealized

Losses

     

Estimated

Fair Value

 
                                 
U.S. Government Agency securities   $ 24,544,975     $ 0     $ 964,741     $ 23,580,234  
State and municipal securities     1,531,693       2,219       93,533       1,440,379  
Residential mortgage-backed securities     8,459,377       378,150       42,036       8,795,491  
Corporate notes     2,495,294       0       25,779       2,469,515  
       Total debt securities AFS     37,031,339       380,369       1,126,089       36,285,619  
Equity securities     43,749       131,400       0       175,149  
                                 
       Total securities AFS   $ 37,075,088     $ 511,769     $ 1,126,089     $ 36,460,768  

Schedule of Securities Held to Maturity

Securities Held to Maturity:

 

June 30, 2014    

Amortized

Cost

     

Unrealized

Gains

     

Unrealized

Losses

     

Estimated

Fair Value

 
                                 
State and municipal securities   $ 48,715,867     $ 973,975     $ 57,037     $ 49,632,805  
Residential mortgage-backed securities     9,712,835       422,255       0       10,135,090  
                                 
       Total securities HTM   $ 58,428,702     $ 1,396,230     $ 57,037     $ 59,767,895  

 

 

December 31, 2013    

Amortized

Cost

     

Unrealized

Gains

     

Unrealized

Losses

     

Estimated

Fair Value

 
                                 
State and municipal securities   $ 48,701,733     $ 491,808     $ 433,078     $ 48,760,463  
Residential mortgage-backed securities     10,922,306       348,198       11,821       11,258,683  
                                 
       Total securities HTM   $ 59,624,039     $ 840,006     $ 444,899     $ 60,019,146  

Schedule of Information Pertaining to Securities Gross Unrealized Losses by Investments

Information pertaining to securities with gross unrealized losses aggregated by investment category and length of time that individual securities have been in continuous loss position, follows:

 

June 30, 2014   Less Than Twelve Months   Twelve Months or More
    Gross Unrealized Losses   Fair
Value
  Gross Unrealized Losses   Fair
Value
Securities Available for Sale                                
Temporarily impaired debt securities:                                
U.S. Government Agency securities   $ 0     $ 0     $ 419,640     $ 19,632,303  
State and municipal securities     0       0       25,254       858,423  
Residential mortgage-backed securities     0       0       10,157       660,930  
Corporate notes     0       0       375       499,625  
Total securities available for sale   $ 0     $ 0     $ 455,426     $ 21,651,281  
                                 
Securities Held to Maturity                                
Temporarily impaired debt securities:                                
State and municipal securities   $ 2,604     $ 2,284,718     $ 54,433     $ 6,285,373  
Residential mortgage-backed securities     0       0       0       0  
Total securities held to maturity   $ 2,604     $ 2,284,718     $ 54,433     $ 6,285,373  

  

December 31, 2013   Less Than Twelve Months   Twelve Months or More
    Gross Unrealized Losses   Fair
Value
  Gross Unrealized Losses   Fair
Value
Securities Available for Sale                                
Temporarily impaired debt securities:                                
U.S. Government Agency securities   $ 902,051     $ 22,642,924     $ 62,690     $ 937,310  
State and municipal securities     0       0       93,533       793,161  
Residential mortgage-backed securities     42,036       690,106       0       0  
Corporate notes     25,779       2,469,515       0       0  
Total debt securities AFS     969,866       25,802,545       156,223       1,730,471  
Temporarily impaired equity securities     0       0       0       0  
Other-than-temporarily impaired equity securities     0       0       0       0  
Total securities available for sale   $ 969,866     $ 25,802,545     $ 156,223     $ 1,730,471  
                                 
Securities Held to Maturity                                
Temporarily impaired debt securities:                                
State and municipal securities   $ 412,787     $ 22,496,117     $ 20,291     $ 2,359,232  
Residential mortgage-backed securities     11,821       1,368,200       0       0  
Total securities held to maturity   $ 424,608     $ 23,864,317     $ 20,291     $ 2,359,232