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Note 18: Derivative Commitments: Schedule of Derivative Assets at Fair Value (Tables)
12 Months Ended
Dec. 31, 2014
Tables/Schedules  
Schedule of Derivative Assets at Fair Value

 

Fair Value of Derivative Instruments

Asset Derivatives

Liability Derivatives

December 31, 2014

December 31, 2013

December 31, 2014

December 31, 2013

Balance Sheet Location

Fair Value

Balance Sheet Location

Fair Value

Balance Sheet Location

Fair Value

Balance Sheet Location

Fair Value

Derivatives designated as hedging instruments:

Interest rate lock and forward sales commitments

other assets

$2,111,529

other assets

$1,511,111

Other liabilities

$181,678

Other liabilities

$  23,203

Call Options

               -

               -

Other liabilities

   116,036

Other liabilities

   124,174

Put Options

               -

               -

Other liabilities

     11,867

Other liabilities

             -  

Interest rate swaps

 

               -

               -

Bank loans payable

     31,370

Bank loans payable

     58,310

Total

$2,111,529

$1,511,111

$340,951

 

$205,687