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SECURITIES (Tables)
3 Months Ended
Mar. 31, 2016
Investments, Debt and Equity Securities [Abstract]  
Composition of Securities
  (in thousands) Amortized
cost (1)
  Gross un-
realized gains
  Gross un-
realized losses
  Fair value
March 31, 2016           
Available-for-sale                   
U.S. Treasury notes $7,497   $33   $(1)  $7,529 
Municipal bonds  24,893    495        25,388 
Mortgage-backed securities:                   
U.S. Government agencies and U.S. Government- sponsored enterprises  35,328    497    (23)   35,802 
Collateralized mortgage obligations:                   
U.S. Government agencies  1,850    12        1,862 
Non-agency  4,198    382    (12)   4,568 
SBA bonds  2,843    28        2,871 
CRA mutual funds  770    9        779 
Preferred stock  20    215        235 
Total securities available-for-sale $77,399   $1,671   $(36)  $79,034 
Non-marketable securities                   
Federal Home Loan Bank of Boston stock $3,117   $   $   $3,117 
                    

  (in thousands) Amortized
cost (1)
  Gross un-
realized gains
  Gross un-
realized losses
  Fair value
December 31, 2015                   
Available-for-sale                   
U.S. Treasury notes $2,499   $42   $   $2,541 
U.S. Government agency notes  498            498 
Municipal bonds  29,752    633        30,385 
Mortgage-backed securities:                   
U.S. Government agencies and U.S. Government- sponsored enterprises  31,900    385    (83)   32,202 
Collateralized mortgage obligations:                   
U.S. Government agencies  2,002    12        2,014 
Non-agency  4,487    468    (7)   4,948 
SBA bonds  3,065    31        3,096 
CRA mutual funds  766        (2)   764 
Preferred stock  20    226        246 
Total securities available-for-sale $74,989   $1,797   $(92)  $76,694 
Non-marketable securities                   
Federal Home Loan Bank of Boston stock $3,176   $   $   $3,176 
                    
(1)Net of other-than-temporary impairment write-downs recognized in earnings.
Aggreggate fair value and gross unrealized loss of securities
  (in thousands)  Less than 12 Months  12 Months or Longer  Total
   Fair
value
 

Unrealized

losses

  Fair
value
 

Unrealized

losses

  Fair
value
  Unrealized losses
March 31, 2016               
Available-for-sale                              
Municipal bonds  $4,997   $(1)  $   $   $4,997   $(1)
Mortgage-backed securities   7,096    (18)   177    (5)   7,273    (23)
Collateralized mortgage obligations:                              
Non-agency   343    (2)   211    (6)   554    (8)
Total temporarily impaired securities   12,436    (21)   388    (11)   12,824    (32)
Other-than-temporarily impaired securities                              
Collateralized mortgage obligations:                              
Non-agency   217    (4)           217    (4)
Total temporarily impaired and other-than-temporarily impaired securities  $12,653   $(25)  $388   $(11)  $13,041   $(36)
                               
Activity related to credit losses recognized into earnings
  Three months ended March 31 (in thousands)    2016      2015  
Balance, beginning of period  $1,128   $1,128 
Credit component on debt securities in which OTTI was not previously recognized        
Balance, end of period  $1,128   $1,128