XML 103 R34.htm IDEA: XBRL DOCUMENT v2.4.0.6
Interest-Bearing Deposits (Tables)
12 Months Ended
Dec. 31, 2012
Interest Bearing Deposits [Abstract]  
Schedule Of Interest Bearing Deposits [Table Text Block]

Interest-bearing deposits consist of the following:

December 31,
(In thousands) Weighted Weighted
Average Average
Interest Interest
      2012       Rate       2011 Rate
Interest-bearing demand deposits $       279,803 .93 % $       257,294       1.14 %
Savings deposits 27,211 .88 28,037 1.14
Time deposits:  
       Less than $100 8,742 1.32 13,167 1.55
       $100 or more 103,809 1.33 117,914 1.78
Total $ 419,565 1.07 % $ 416,412 1.37 %
Schedule Of Interest Expense On Deposits [Table Text Block]

Interest on deposits consists of the following:

December 31,
(In thousands)       2012       2011       2010
Interest-bearing demand deposits $       1,739 $       2,162 $       2,082
Savings deposits 169 225 321
Time deposits:      
       Less than $100 784 1,297 1,658
       $100 or more 456 690 814
Total $ 3,148 $ 4,374 $ 4,875
Schedule Of Maturities Of Time Deposits [Table Text Block]

The scheduled maturities of time deposits are summarized as follows:

December 31,
2012 2011
      Percent             Percent
(In thousands) Amount of Total Amount of Total
Due within:
       One year $       94,922 84.3 % $       119,394 91.1 %
       Two years 13,871 12.3 % 7,362 5.6 %
       Three years 2,737 2.4 % 1,735 1.3 %
       Four years 520 .5 % 2,332 1.8 %
       Five years 501 .5 % 258 .2 %
Total $ 112,551 100.0 % $ 131,081 100.0 %