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FAIR VALUE MEASUREMENTS (Details) (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2013
Dec. 31, 2012
Sep. 30, 2012
FAIR VALUE MEASUREMENTS      
Blended interest rate for determining fair value of nonaccrual loans (as a percent) 0.00%    
Financial assets:      
Interest-bearing deposits $ 10 $ 10 $ 10
Securities available for sale 48,096 43,799 42,476
Carrying Amount
     
Financial assets:      
Total financial assets 543,032 519,108 523,297
Financial liabilities:      
Total financial liabilities 497,740 470,696 475,526
Estimated Fair Value
     
Financial assets:      
Total financial assets 535,505 514,388 519,931
Financial liabilities:      
Total financial liabilities 495,610 470,170 475,058
Level 1 | Carrying Amount
     
Financial assets:      
Cash and cash equivalents 22,794 26,961 47,405
Level 1 | Estimated Fair Value
     
Financial assets:      
Cash and cash equivalents 22,794 26,961 47,405
Level 2 | Carrying Amount
     
Financial assets:      
Interest-bearing deposits 10 10 10
Securities available for sale 48,096 43,799 42,476
Federal Home Loan Bank stock 3,060 3,060 3,060
Financial liabilities:      
Deposits 461,688 434,557 439,363
Borrowings 35,852 35,925 35,925
Accrued interest payable 200 214 238
Level 2 | Estimated Fair Value
     
Financial assets:      
Interest-bearing deposits 10 10 10
Securities available for sale 48,096 43,799 42,476
Federal Home Loan Bank stock 3,060 3,060 3,060
Financial liabilities:      
Deposits 459,862 434,227 439,139
Borrowings 35,548 35,729 35,681
Accrued interest payable 200 214 238
Level 3 | Carrying Amount
     
Financial assets:      
Net loans 467,536 443,959 428,772
Accrued interest receivable 1,536 1,319 1,574
Level 3 | Estimated Fair Value
     
Financial assets:      
Net loans 460,009 439,239 425,406
Accrued interest receivable $ 1,536 $ 1,319 $ 1,574