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Investment Securities (Tables)
9 Months Ended
Sep. 30, 2015
Schedule of Investments [Abstract]  
Schedule of Securities Available for Sale Securities

Securities Available For Sale:

September 30, 2015  

Amortized

Cost

 

Unrealized

Gains

 

Unrealized

Losses

 

Estimated

Fair Value

                 
U.S. Government Agency securities   $ 40,069,069     $ 1,093,040     $ 55,670     $ 41,106,439  
State and municipal securities     1,962,594       0       16,105       1,946,489  
Residential mortgage-backed securities     3,855,082       164,157       0       4,019,239  
Corporate notes     2,496,175       9,525       1,030       2,504,670  
 Total debt securities AFS     48,382,920       1,266,722       72,805       49,576,837  
Equity securities     12,000       0       0       12,000  
                                 
 Total securities AFS   $ 48,394,920     $ 1,266,722     $ 72,805     $ 49,588,837  

 

December 31, 2014  

Amortized

Cost

 

Unrealized

Gains

 

Unrealized

Losses

 

Estimated

Fair Value

                 
U.S. Government Agency securities   $ 45,121,060     $ 758,874     $ 387,009     $ 45,492,925  
State and municipal securities     880,580       0       5,913       874,667  
Residential mortgage-backed securities     4,757,738       215,276       1,370       4,971,644  
Corporate notes     2,495,765       4,255       1,300       2,498,720  
                                 
 Total securities AFS   $ 53,255,143     $ 978,405     $ 395,592     $ 53,837,956  

Schedule of Securities Held to Maturity

Securities Held to Maturity:

September 30, 2015  

Amortized

Cost

 

Unrealized

Gains

 

Unrealized

Losses

 

Estimated

Fair Value

                 
State and municipal securities   $ 54,814,561     $ 1,052,467     $ 54,016     $ 55,813,012  
Residential mortgage-backed securities     6,521,995       301,545       0       6,823,540  
                                 
 Total securities HTM   $ 61,336,556     $ 1,354,012     $ 54,016     $ 62,636,552  

 

December 31, 2014  

Amortized

Cost

 

Unrealized

Gains

 

Unrealized

Losses

 

Estimated

Fair Value

                 
State and municipal securities   $ 53,058,749     $ 958,434     $ 87,772     $ 53,929,411  
Residential mortgage-backed securities     8,529,070       382,923       0       8,911,993  
                                 
 Total securities HTM   $ 61,587,819     $ 1,341,357     $ 87,772     $ 62,841,404  

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:

 

September 30, 2015   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   $ 660     $ 999,340     $ 55,010     $ 6,944,990  
State and municipal securities     16,105       1,946,490       0       0  
Residential mortgage-backed securities     0       0       0       0  
Corporate notes     1,030       498,970       0       0  
 Total debt securities available for sale     17,795       3,444,800       55,010       6,944,990  
Equity securities     0       0       0       0  
Total securities available for sale   $ 17,795     $ 3,444,800     $ 55,010     $ 6,944,990  
                                 
Securities Held to Maturity                                
Temporarily impaired debt securities:                                
State and municipal securities   $ 49,032     $ 7,384,830     $ 4,984     $ 1,111,926  
Residential mortgage-backed securities     0       0       0       0  
Total securities held to maturity   $ 49,032     $ 7,384,830     $ 4,984     $ 1,111,926  

 

December 31, 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   $ 17,172     $ 2,630,919     $ 369,837     $ 19,667,408  
State and municipal securities     0       0       5,913       874,667  
Residential mortgage-backed securities     1,300       498,700       0       0  
Corporate notes     0       0       1,370       594,923  
Total securities available for sale   $ 18,472     $ 3,129,619     $ 377,120     $ 21,136,998  
                                 
Securities Held to Maturity                                
Temporarily impaired debt securities:                                
State and municipal securities   $ 34,956     $ 9,199,455     $ 52,816     $ 4,130,041  
Residential mortgage-backed securities     0       0       0       0  
Total securities held to maturity   $ 34,956     $ 9,199,455     $ 52,816     $ 4,130,041