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Fair Value Of Financial Instruments (Tables)
9 Months Ended
Sep. 30, 2012
Fair Value Of Financial Instruments [Abstract]  
Summary Of The Carrying Values And Estimated Fair Values Of Financial Instruments
    Carrying     Level 1     Level 2     Level 3   Total Fair
September 30, 2012   Value     Inputs     Inputs     Inputs   Value
 
Cash and cash equivalents $ 10,045 $   10,045 $ - -- $ - -- $ 10,045
Federal Home Loan Bank stock $ 18,189 $ - -- $   18,189 $ - -- $ 18,189
Loans, net $ 800,359 $ - -- $ - -- $   808,914 $ 808,914
Interest receivable $ 4,668 $   4,668 $ - -- $ - -- $ 4,668
 
Financial liabilities:                          
Deposits (with no stated maturity) $ 416,328 $ - -- $   416,328 $ - -- $ 416,328
Time deposits $ 397,299 $ - -- $   404,826 $ - -- $ 404,826
Borrowings $ 343,833 $ - -- $   351,032 $ - -- $ 351,032
Interest payable $ 751 $   751 $ - -- $ - -- $ 751

 

 

    Carrying   Level 1   Level 2   Level 3   Total Fair
December 31, 2011   Value   Inputs   Inputs   Inputs   Value
 
Cash and cash equivalents $ 8,720 $ 8,720 $ -- $ -- $ 8,720
Federal Home Loan Bank stock $ 16,068 $ -- $ 16,068 $ -- $ 16,068
Loans, net $ 720,782 $ -- $ -- $ 728,985 $ 728,985
Interest receivable $ 4,385 $ 4,385 $ -- $ -- $ 4,385
 
Financial liabilities:                    
Deposits (with no stated maturity) $ 368,472 $ -- $ 368,472 $ -- $ 368,472
Time deposits $ 354,418 $ -- $ 362,933 $ -- $ 362,933
Borrowings $ 320,283 $ -- $ 329,801 $ -- $ 329,801
Interest payable $ 828 $ 828 $ -- $ -- $ 828