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SECURITIES, PART 2 (Details) (USD $)
3 Months Ended
Mar. 31, 2013
Mar. 31, 2012
Dec. 31, 2012
Available for Sale, Amortized Cost [Abstract]      
Within One Year $ 26,909,544    
After One, But Within Five Years 158,776,821    
After Five, But Within Ten Years 5,291,745    
After Ten Years 629,025    
Amortized Cost, Specified Maturity Period 191,607,135    
Amortized Cost, Total 221,609,941    
Available for Sale, Fair Value [Abstract]      
Within One Year 27,093,364    
After One, But Within Five Years 163,250,188    
After Five, But Within Ten Years 5,817,884    
After Ten Years 496,825    
Fair Value, Specified Maturity Period 196,658,261    
Fair Value, Total 228,405,356    
Held to Maturity, Amortized Cost [Abstract]      
Within One Year 4,869,367    
After One, But Within Five Years 3,494,451    
After Five, But Within Ten Years 1,534,394    
After Ten Years 0    
Amortized Cost, Specified Maturity Period 9,898,212    
Amortized Cost Total 9,898,212    
Held to Maturity, Fair Value [Abstract]      
Within One Year 4,943,587    
After One, But Within Five Years 3,792,420    
After Five, But Within Ten Years 1,875,038    
After Ten Years 0    
Fair Value, Specified Maturity Period 10,611,045    
Fair Value, Total 10,611,045    
Available-for-sale Securities, Gross Realized Gain (Loss) [Abstract]      
Proceeds on sales 0 25,679,688  
Gross gains 0 297,169  
Gross losses 0 0  
Tax expense 0 115,666  
Continuous unrealized loss securities, 12 months or less [Abstract]      
Less than 12 months - Fair Value 21,733,280   0
Less than 12 months - Unrealized Losses 22,104   0
Continuous unrealized loss securities, 12 months or more [Abstract]      
12 months or longer - Fair Value 749,139   921,678
12 months or longer - Unrealized Losses 135,096   192,526
Securities with continuous unrealized losses, Total [Abstract]      
Fair Value 22,482,419   921,678
Unrealized Losses 157,200   192,526
Other than temporary impairment credit losses recognized in earnings [Roll Forward]      
Beginning balance 3,506,073 3,506,073  
Amounts related to credit loss for which an other-than-temporary impairment was not previously recognized 0 0  
Additions/Subtractions [Abstract]      
Amounts realized for securities sold during the period 0 0  
Amounts related to securities for which the company intends to sell or that it will be more likely than not that the company will be required to sell prior to recovery of amortized cost basis 0 0  
Reductions for increase in cash flows expected to be collected that are recognized over the remaining life of the security 0 0  
Increases to the amount related to the credit loss for which other-than-temporary impairment was previously recognized 0 0  
Ending balance 3,506,073 3,506,073  
Obligations of U.S. Government and U.S. Government sponsored enterprises [Member]
     
Continuous unrealized loss securities, 12 months or less [Abstract]      
Less than 12 months - Fair Value 21,733,280    
Less than 12 months - Unrealized Losses 22,104    
Continuous unrealized loss securities, 12 months or more [Abstract]      
12 months or longer - Fair Value 0    
12 months or longer - Unrealized Losses 0    
Securities with continuous unrealized losses, Total [Abstract]      
Fair Value 21,733,280    
Unrealized Losses 22,104    
Obligations of states and political subdivisions [Member]
     
Continuous unrealized loss securities, 12 months or less [Abstract]      
Less than 12 months - Fair Value 0   0
Less than 12 months - Unrealized Losses 0   0
Continuous unrealized loss securities, 12 months or more [Abstract]      
12 months or longer - Fair Value 250,645   430,166
12 months or longer - Unrealized Losses 927   1,383
Securities with continuous unrealized losses, Total [Abstract]      
Fair Value 250,645   430,166
Unrealized Losses 927   1,383
Trust Preferred securities [Member]
     
Continuous unrealized loss securities, 12 months or less [Abstract]      
Less than 12 months - Fair Value 0   0
Less than 12 months - Unrealized Losses 0   0
Continuous unrealized loss securities, 12 months or more [Abstract]      
12 months or longer - Fair Value 496,825   445,600
12 months or longer - Unrealized Losses 132,200   183,425
Securities with continuous unrealized losses, Total [Abstract]      
Fair Value 496,825   445,600
Unrealized Losses 132,200   183,425
Trust Preferred securities [Member] | TPREF Funding II, Ltd. (Class B) [Member]
     
Information related to the pooled trust preferred security [Abstract]      
Book value of Pooled trust preferred security analyzed for currently performing collateral 629,025    
Unrealized losses on security 132,200    
Corporate stocks [Member]
     
Continuous unrealized loss securities, 12 months or less [Abstract]      
Less than 12 months - Fair Value 0   0
Less than 12 months - Unrealized Losses 0   0
Continuous unrealized loss securities, 12 months or more [Abstract]      
12 months or longer - Fair Value 1,669   45,912
12 months or longer - Unrealized Losses 1,969   7,718
Securities with continuous unrealized losses, Total [Abstract]      
Fair Value 1,669   45,912
Unrealized Losses 1,969   7,718
Mortgage-backed securities, residential [Member]
     
Available for Sale, Amortized Cost [Abstract]      
Amortized Cost, Total 25,488,094    
Available for Sale, Fair Value [Abstract]      
Fair Value, Total 27,156,327    
Held to Maturity, Amortized Cost [Abstract]      
Amortized Cost Total 0    
Held to Maturity, Fair Value [Abstract]      
Fair Value, Total 0    
Collateralized Mortgage obligations [Member]
     
Available for Sale, Amortized Cost [Abstract]      
Amortized Cost, Total 2,912,794    
Available for Sale, Fair Value [Abstract]      
Fair Value, Total 2,950,309    
Held to Maturity, Amortized Cost [Abstract]      
Amortized Cost Total 0    
Held to Maturity, Fair Value [Abstract]      
Fair Value, Total 0    
SBA loan pools [Member]
     
Available for Sale, Amortized Cost [Abstract]      
Amortized Cost, Total 1,601,918    
Available for Sale, Fair Value [Abstract]      
Fair Value, Total 1,640,459    
Held to Maturity, Amortized Cost [Abstract]      
Amortized Cost Total 0    
Held to Maturity, Fair Value [Abstract]      
Fair Value, Total $ 0