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Note 10 - Deposits (Tables)
12 Months Ended
Jun. 30, 2016
Notes Tables  
Schedule of Deposit Liabilities [Table Text Block]
    June 30, 2016   June 30, 2015  
    (dollars in thousands)  
Non-interest bearing deposits                                  
Demand deposits   $ 2,181       0.34 %   $ 2,193       0.5 %  
                                   
Interest-bearing deposits                                  
Demand     1,298       0.21 %     2,715       0.6 %  
Savings and money market     78,510       12.40 %     65,539       13.9 %  
Time certificates of deposits     551,158       87.05 %     401,459       85.0 %  
Total Deposits   $ 633,147       100.00 %   $ 471,906       100.0 %  
Schedule of Maturities of Long-term Debt [Table Text Block]
Years Ending:
  (in thousands)  
2017   $ 440,636    
2018     89,521    
2019     21,001    
Total time certificates of deposit   $ 551,158