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Securities (Schedule Of Marketable Securities By Contractual Maturity) (Details) - USD ($)
$ in Thousands
Dec. 31, 2015
Dec. 31, 2014
Schedule of Investments [Line Items]    
Available for sale at fair value, After one through five years $ 8,451  
Available for sale at fair value yield, After one through five years 1.67%  
Available for sale at fair value, After five through ten years $ 14,063  
Available for sale at fair value yield, After five through ten years 2.01%  
Available for sale at fair value, After ten years $ 30,351  
Available for sale at fair value yield, After ten years 2.62%  
Available-for-sale Securities $ 52,865 $ 60,073
Available for sale at fair value yield 2.31%  
Held to maturity at cost, Within one year $ 267  
Held to maturity at cost yield, Within one year 0.79%  
Held to maturity at cost, After one through five years $ 199  
Held to maturity at cost yield, After one through five years 4.75%  
Held to maturity at cost, After five through ten years $ 2,170  
Held to maturity at cost yield, After five through ten years 4.66%  
Held to maturity at cost, After ten years $ 15,835  
Held to maturity at cost yield, After ten years 2.97%  
Held to maturity Securities $ 18,471 20,009
Held to maturity at cost yield, 3.16%  
US Government Agencies Debt Securities [Member]    
Schedule of Investments [Line Items]    
Available for sale at fair value, After one through five years $ 3,256  
Available for sale at fair value yield, After one through five years 1.55%  
Available for sale at fair value, After five through ten years $ 921  
Available for sale at fair value yield, After five through ten years 2.08%  
Available for sale at fair value, After ten years $ 2,404  
Available for sale at fair value yield, After ten years 2.04%  
Available-for-sale Securities $ 6,581 4,618
Available for sale at fair value yield 1.81%  
Held to maturity at cost, After ten years $ 3,988  
Held to maturity at cost yield, After ten years 1.97%  
Held to maturity Securities $ 3,988 4,440
Held to maturity at cost yield, 1.97%  
US States and Political Subdivisions Debt Securities [Member]    
Schedule of Investments [Line Items]    
Available for sale at fair value, After one through five years $ 1,412  
Available for sale at fair value yield, After one through five years 2.55%  
Available for sale at fair value, After five through ten years $ 5,740  
Available for sale at fair value yield, After five through ten years 2.41%  
Available for sale at fair value, After ten years $ 3,630  
Available for sale at fair value yield, After ten years 2.56%  
Available-for-sale Securities $ 10,782 11,132
Available for sale at fair value yield 2.48%  
Held to maturity at cost, Within one year $ 264  
Held to maturity at cost yield, Within one year 0.75%  
Held to maturity at cost, After ten years $ 2,100  
Held to maturity at cost yield, After ten years 4.73%  
Held to maturity Securities $ 2,364 2,417
Held to maturity at cost yield, 4.29%  
Residential Mortgage Backed Securities [Member]    
Schedule of Investments [Line Items]    
Available for sale at fair value, After one through five years $ 1,066  
Available for sale at fair value yield, After one through five years 2.03%  
Available for sale at fair value, After five through ten years $ 3,059  
Available for sale at fair value yield, After five through ten years 2.24%  
Available for sale at fair value, After ten years $ 22,314  
Available for sale at fair value yield, After ten years 2.77%  
Available-for-sale Securities $ 26,439 34,383
Available for sale at fair value yield 2.68%  
Held to maturity at cost, Within one year $ 3  
Held to maturity at cost yield, Within one year 4.52%  
Held to maturity at cost, After one through five years $ 199  
Held to maturity at cost yield, After one through five years 4.75%  
Held to maturity at cost, After five through ten years $ 185  
Held to maturity at cost yield, After five through ten years 5.21%  
Held to maturity at cost, After ten years $ 5,845  
Held to maturity at cost yield, After ten years 3.20%  
Held to maturity Securities $ 6,232 8,164
Held to maturity at cost yield, 3.31%  
Commercial Mortgage Backed Securities [Member]    
Schedule of Investments [Line Items]    
Held to maturity at cost, After ten years $ 3,902  
Held to maturity at cost yield, After ten years 2.71%  
Held to maturity Securities $ 3,902 4,005
Held to maturity at cost yield, 2.71%  
Corporate Debt Securities [Member]    
Schedule of Investments [Line Items]    
Available for sale at fair value, After one through five years $ 2,717  
Available for sale at fair value yield, After one through five years 1.23%  
Available for sale at fair value, After five through ten years $ 4,343  
Available for sale at fair value yield, After five through ten years 1.30%  
Available for sale at fair value, After ten years $ 2,003  
Available for sale at fair value yield, After ten years 1.82%  
Available-for-sale Securities $ 9,063 9,940
Available for sale at fair value yield 1.39%  
Held to maturity at cost, After five through ten years $ 1,985  
Held to maturity at cost yield, After five through ten years 4.61%  
Held to maturity Securities $ 1,985 983
Held to maturity at cost yield, 4.61%  
Parent Company Only [Member]    
Schedule of Investments [Line Items]    
Available-for-sale Securities $ 216 $ 198