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Interest-Bearing Deposits (Tables)
12 Months Ended
Dec. 31, 2014
Interest-Bearing Deposits [Abstract]  
Schedule of Interest Bearing Deposits

Interest-bearing deposits consist of the following:

December 31,
2014 2013
(In thousands) Weighted       Weighted
Average       Average
      Interest         Interest
    Amounts   Rate   Amounts   Rate
Interest-bearing demand deposits   $ 354,511   .49 %   $ 316,743   .61 %
Savings deposits   24,914   .51       20   .66  
Time deposits:                        
       Less than $100   6,956   1.14       7,777   1.09  
       $100 or more     72,819   .79       91,219   .81  
Total   $ 459,200   .58 %   $ 438,655   .69 %
Schedule of Interest on Deposits

Interest on deposits consists of the following:

  December 31,
(In thousands)   2014   2013   2012
Interest-bearing demand deposits   $ 1,564   $ 1,737   $ 1,739
Savings deposits   87   138   169
Time deposits:        
       Less than $100   472   600   784
       $100 or more     337   357   456
Total     $ 2,460   $ 2,832   $ 3,148
Schedule of Maturities of Time Deposits

The scheduled maturities of time deposits are summarized as follows:

December 31,
2014 2013
Percent         Percent
(In thousands) Amount of Total Amount   of Total
Due within:                        
       One year $ 66,436   83.3 %   $ 84,088   84.9 %
       Two years     10,759   13.5       12,690   12.8  
       Three years   1,148   1.4       594   .6  
       Four years     1,250   1.6       459   .5  
       Five years     182   .2       1,165   1.2  
Total   $ 79,775   100.0 %   $ 98,996   100.0 %