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Note 3 - Securities Available for Sale (Tables)
12 Months Ended
Jun. 30, 2015
Investments, Debt and Equity Securities [Abstract]  
Schedule of Available-for-sale Securities Reconciliation [Table Text Block]
    at June 30, 2015  
(in thousands)   Amortized   Gross Unrealized   Fair  
    Cost   Gains   Losses   Value  
U.S. Treasury notes   $ 47,286     $ 484     $ -     $ 47,770    
Corporate debt securities     13,165       18       (31 )     13,152    
Agency MBS     18,765       53       (149 )     18,669    
Securities of state and political subdivisions     406       6       -       412    
Mutual fund investments     1,215       -       (6 )     1,209    
Total securities available-for-sale   $ 80,837     $ 561     $ (186 )   $ 81,212    
                   
    at June 30, 2014  
(in thousands)   Amortized   Gross Unrealized   Fair  
    Cost   Gains   Losses   Value  
U.S. Treasury notes   $ 7,930     $ 43       -     $ 7,973    
Corporate debt securities     16,030       280       -       16,310    
Securities of state and political subdivisions     409       18       -       427    
Mutual fund investments     1,306       -       (45 )     1,261    
Equity investments     422       371       -       793    
Total securities available-for-sale   $ 26,097     $ 712     $ (45 )   $ 26,764    
Available-for-sale Securities, Continuous Unrealized Loss Position, Fair Value [Table Text Block]
    Less than 12 Months   12 Months or More   Total  
   

Unrealized

Loss

 

Estimated

Fair Value

 

Unrealized

Loss

 

Estimated

Fair Value

 

Unrealized

Loss

 

Estimated

Fair Value

 
    (in thousands)  
At June 30, 2015                          
Corporate debt securities   $ (31 )   $ 8,388     $ -     $ -     $ (31 )   $ 8,388    
Agency MBS     (149 )     14,170       -       -       (149 )     14,170    
Mutual fund investments     (6 )     1,209       -       -       (6 )     1,209    
Total   $ (186 )   $ 23,767     $ -     $ -     $ (186 )   $ 23,767    
                                                   
At June 30, 2014                                                  
Mutual fund investment   $ -     $ -     $ (45 )   $ 1,261     $ (45 )   $ 1,261    
Total   $ -     $ -     $ (45 )   $ 1,261     $ (45 )   $ 1,261    
Available-for-sale Securities [Table Text Block]
    Amortized Cost   Fair Value  
    (in thousands)  
Due in three months or less   $ -   $ -  
Due after three months to one year     5,152       5,176    
Due after one year to five years     50,766       51,185    
Due after five years     23,704       23,642    
No stated maturity     1,215       1,209    
Total securities available-for-sale   $ 80,837     $ 81,212    
Realized Gain (Loss) on Investments [Table Text Block]
(in thousands)   Available-for-sale  
    For the years ended June 30,  
    2015   2014   2013  
Gross realized gains   $ 572     $ -     $ 316    
Gross realized losses     -       -       -    
Other than temporary impairment     (91 )     -       -    
Total   $ 481     $ -     $ 316