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Fair Value Measurements (Tables)
3 Months Ended
Mar. 31, 2019
Fair Value Disclosures [Abstract]  
Schedule of Assets Recorded at Fair Value on a Recurring Basis

The table below presents the recorded amount of assets measured at fair value on a recurring basis as of March 31, 2019, and December 31, 2018.

 

March 31, 2019 Level 1 Level 2 Level 3 Total
Investment securities available for sale:        
  U.S. government treasury securities  $3,965,670 $                0 $        0 $   3,965,670
  U.S. government agency securities               0  46,884,851         0  46,884,851
  State and municipal securities                0 7,478,656         0 7,478,656
  Residential mortgage-backed securities               0    4,632,902         0    4,632,902
     Total $3,965,670 $ 58,996,409 $        0 $ 62,962,079

 

 

December 31, 2018 Level 1 Level 2 Level 3 Total
Investment securities available for sale:        
  U.S. government treasury securities  $ 954,570 $                0 $         0 $      954,570
  U.S. government agency securities               0  45,207,005         0  45,207,005
  State and municipal securities               0 7,377,935         0  7,377,935
  Residential mortgage-backed securities              0   4,774,067         0   4,774,067
     Total $  954,570 $ 57,359,007 $         0 $ 58,313,577

Schedule of Fair Value of Assets Recorded on a Nonrecurring Basis

Assets measured at fair value on a nonrecurring basis are included in the table below as of March 31, 2019, and December 31, 2018.

 

March 31, 2019 Level 1 Level 2 Level 3 Total
Foreclosed assets $             0 $             0 $    127,605 $    127,605
Impaired loans              0             0 3,504,692 3,504,692
     Total assets at fair value $             0 $             0 $ 3,632,297 $ 3,632,297

 

December 31, 2018 Level 1 Level 2 Level 3 Total
Foreclosed assets $             0 $             0 $    127,605 $     127,605
Impaired loans              0              0  3,838,151  3,838,151
     Total assets at fair value $             0 $             0 $ 3,965,756 $ 3,965,756

Schedule of Carrying and Estimated Fair Value of Assets and Liabilities Recorded at Fair Value

The carrying amount and estimated fair values of the Corporation’s assets and liabilities which are required to be either disclosed or recorded at fair value at March 31, 2019, and December 31, 2018:

 

    Estimated Fair Value
March 31, 2019

Carrying

Amount

Level 1 Level 2 Level 3 Total
  (Dollars in thousands)
Assets:          
  Cash and cash equivalents $   49,015 $   49,015 $            0 $          0 $   49,015
  Certificates of deposit in other banks 2,732 2,732 0 0 2,732
  Investment securities available for sale 62,962 3,966 58,996 0 62,962
  Investment securities held to maturity 35,185 0 35,674 0 35,674
  Federal Home Loan Bank stock 1,020 0 1,020 0 1,020
  Loans, net 374,327           0 360,840 3,505 364,345
  Bank owned life insurance 6,813           0 6,813 0 6,813
Liabilities:          
  Deposits 488,619           0 457,973           0 457,973
  Federal Home Loan Bank advances    13,700              0 13,747           0 13,747

   

    Estimated Fair Value
December 31, 2018

Carrying

Amount

Level 1 Level 2 Level 3 Total
  (Dollars in thousands)
Assets:          
  Cash and cash equivalents $   35,499 $   35,499 $            0 $          0 $   35,499
  Certificates of deposit in other banks 2,732 2,732 0 0 2,732
  Investment securities available for sale 58,314 955 57,359 0 58,314
  Investment securities held to maturity 36,827 0 37,010 0 37,010
  Federal Home Loan Bank stock 1,820 0 1,820 0 1,820
  Loans, net 373,321 0 362,373 3,838 366,211
  Bank owned life insurance 6,779 0 6,779 0 6,779
Liabilities:          
  Deposits 455,640 0 456,245 0 456,245
  Federal Home Loan Bank advances 31,629 0 31,591 0 31,591