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Note 15: Disclosures About Fair Value of Financial Instruments: Schedule of Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation (Details) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Mortgage Servicing Rights
   
Servicing Asset at Fair Value, Additions $ 239 $ 117
Amortization of Mortgage Servicing Rights (MSRs) (180) (257)
Mortgage Servicing Rights | Balance beginning of period
   
Fair Value of Mortgage Servicing Rights   292
Mortgage Servicing Rights | Balance end of period
   
Fair Value of Mortgage Servicing Rights 211 152
Interest Rate Derivative Asset
   
Derivative Asset Net Change in Fair Value (253) 2,001
Interest Rate Derivative Asset | Balance beginning of period
   
Derivative Fair Value Of Derivative Asset   111
Interest Rate Derivative Asset | Balance end of period
   
Derivative Fair Value Of Derivative Asset 1,859 2,112
Interest Rate Cap Derivative Asset Designated as Hedging Instrument
   
Derivative Asset Designated as Hedging Instrument Change in Fair Value (53)  
Derivative Asset Designated as Hedging Instrument Additions 738  
Interest Rate Cap Derivative Asset Designated as Hedging Instrument | Balance end of period
   
Derivative Asset Designated As Hedging Instrument Fair Value 685  
Interest Rate Derivative Liability
   
Derivative Liability Net Change in Fair Value (547) 2,039
Interest Rate Derivative Liability | Balance beginning of period
   
Derivative Liability Fair Value   121
Interest Rate Derivative Liability | Balance end of period
   
Derivative Liability Fair Value $ 1,613 $ 2,160