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Troubled Debt Restructurings (Details Textual)
3 Months Ended 6 Months Ended 12 Months Ended
Jun. 30, 2018
USD ($)
Loans
Jun. 30, 2017
USD ($)
Loans
Jun. 30, 2018
USD ($)
Loans
Jun. 30, 2017
USD ($)
Loans
Dec. 31, 2018
USD ($)
Dec. 31, 2017
USD ($)
Financing Receivable Modifications [Line Items]            
Total troubled debt restructurings $ 5,700,000   $ 5,700,000     $ 5,000,000
Specific reserves to customers 250,000   250,000     162,000
Commitments to lend additional amounts to borrowers classified as troubled debt restructurings 0   0     0
Provision for loan losses $ 750,000 $ 950,000 $ 1,525,000 $ 2,000,000    
Troubled debt restructured loans with subsequent payment defaults | Loans | Loan | Loans   0   0    
Scenario, Forecast            
Financing Receivable Modifications [Line Items]            
Provision for loan losses         $ 0  
Commercial loans            
Financing Receivable Modifications [Line Items]            
Troubled debt restructured loans with subsequent payment defaults | Loans | Loan | Loans 1   1      
Loans default payment past due period     30 days      
Residential real estate loan            
Financing Receivable Modifications [Line Items]            
Troubled debt restructured loans with subsequent payment defaults | Loans | Loan | Loans 3   3      
Residential real estate, Home equity lines of credit            
Financing Receivable Modifications [Line Items]            
Troubled debt restructured loans with subsequent payment defaults | Loans | Loan | Loans 1   1      
Residential Real Estate Loan And Home Equity Line Of Credit            
Financing Receivable Modifications [Line Items]            
Loans default payment past due period     30 days      
Troubled debt restructurings            
Financing Receivable Modifications [Line Items]            
Specific reserves to customers $ 76,000   $ 76,000     $ 68,000
Allowance adjustment charge offs 20,000 $ 17,000 39,000 $ 30,000    
Provision for loan losses $ 20,000 $ 17,000 $ 39,000 $ 30,000    
Contractual Interest Rate Reduction | Maximum            
Financing Receivable Modifications [Line Items]            
Reduction of the notes stated interest rate 2.50% 1.49% 2.50% 1.89%    
Contractual Interest Rate Reduction | Minimum            
Financing Receivable Modifications [Line Items]            
Reduction of the notes stated interest rate 1.75% 0.49% 1.75% 0.49%    
Extended Maturity            
Financing Receivable Modifications [Line Items]            
Maturity period loans   60 months        
Extended Maturity | Maximum            
Financing Receivable Modifications [Line Items]            
Maturity period loans 25 months   25 months 132 months    
Extended Maturity | Minimum            
Financing Receivable Modifications [Line Items]            
Maturity period loans 5 months   5 months 6 months