XML 200 R33.htm IDEA: XBRL DOCUMENT v2.4.0.8
Deposits CD Maturities (Tables)
12 Months Ended
Mar. 31, 2013
CD maturities [Abstract]  
CD maturity [Table Text Block]
Scheduled maturities of certificates of deposit are as follows for the year ended March 31, 2013:

$ in thousands
 
Period to Maturity
Rate
 
< 1 Yr.
 
1-2 Yrs.
 
2-3 Yrs.
 
3+ Yrs.
 
Total
2013
 
Percent
of Total
0% - 0.99%
 
$
91,938

 
$
5,539

 
$
2,280

 
$
4,064

 
$
103,821

 
52.41
%
1% - 1.99%
 
14,246

 
34,361

 
3,589

 
15,144

 
67,340

 
33.99
%
2% - 3.99%
 
4,518

 
4,425

 
11,982

 
5,719

 
26,644

 
13.45
%
4% and over
 
228

 
53

 

 
3

 
284

 
0.14
%
   Total
 
$
110,930

 
$
44,378

 
$
17,851

 
$
24,930

 
$
198,089

 
99.99
%