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Fair Value Information (Tables)
6 Months Ended
Jun. 30, 2012
Fair Value Information [Abstract]  
The Estimated Fair Values of the Financial Instruments
                                 
    June 30, 2012     December 31, 2011  
    Carrying
Amount
    Fair Value     Carrying
Amount
    Fair Value  

Financial assets:

                               

Cash and cash equivalents

  $ 34,772     $ 34,772     $ 42,185     $ 42,185  

Federal funds sold

    253       253       287       287  

Securities available for sale

    76,054       76,054       90,344       90,344  

Loans held for sale

    1,624       1,624       1,088       1,088  

Loans, net of allowance for loan losses

    344,041       348,520       327,392       333,283  

Accrued interest receivable

    1,826       1,826       2,148       2,148  

Financial liabilities:

                               

Deposits

  $ (417,547   $ (419,093   $ (420,511   $ (422,493

Securities sold under agreements to repurchase and overnight borrowings

    (14,214     (14,214     (18,074     (18,074

Other borrowings

    (7,448     (7,491     (7,751     (7,860

Subordinated debentures

    (5,155     (5,155     (5,155     (5,155

Accrued interest payable

    (112     (112     (131     (131