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Securities (Details) (USD $)
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
Dec. 31, 2011
Available for sale securities amortized cost and fair value basis [Abstract]          
Amortized Cost $ 247,645,684   $ 247,645,684   $ 267,947,655
Unrealized Gains 13,659,523   13,659,523   13,582,255
Unrealized Losses 363,761   363,761   660,100
Estimated Fair Value 260,941,446   260,941,446   280,869,810
Information related to the pooled trust preferred security [Abstract]          
Other than temporary impairment recognized in other comprehensive income for securities available for sale     190,833 214,680  
Held to maturity securities, amortized cost and fair value basis [Abstract]          
Amortized Cost 6,334,331   6,334,331   8,311,921
Unrealized Gains 763,815   763,815   864,035
Unrealized Losses 0   0   0
Estimated Fair Value 7,098,146   7,098,146   9,175,956
Available for Sale amortized cost [Abstract]          
Within One Year 60,679,329   60,679,329    
After One, But Within Five Years 132,755,934   132,755,934    
After Five, But Within Ten Years 7,360,703   7,360,703    
After Ten Years 655,645   655,645    
Total 246,857,877   246,857,877    
Available for Sale, Fair Value [Abstract]          
Within One Year 61,410,522   61,410,522    
After One, But Within Five Years 137,107,786   137,107,786    
After Five, But Within Ten Years 8,055,913   8,055,913    
After Ten Years 343,035   343,035    
Total 254,875,941   254,875,941    
held to maturity Amortized Cost [Abstract]          
Within One Year 1,613,513   1,613,513    
After One, But Within Five Years 3,293,374   3,293,374    
After Five, But Within Ten Years 1,427,444   1,427,444    
After Ten Years 0   0    
Total 6,334,331   6,334,331    
Held To Maturity Fair Value [Abstract]          
Within One Year 1,647,827   1,647,827    
After One, But Within Five Years 3,663,339   3,663,339    
After Five, But Within Ten Years 1,786,980   1,786,980    
After Ten Years 0   0    
Total 7,098,146   7,098,146    
Proceeds from sales and calls of securities available for sale 16,787,750 6,485,156 69,367,438 56,656,054  
Realized gain on available for sale securities, Gross 2,750 485,811 299,919 679,209  
Continuous unrealized loss securities, 12 months or less [Abstract]          
Less than 12 months - Fair Value 10,564,744   10,564,744   36,122,327
Less than 12 months - Unrealized Losses 38,654   38,654   296,490
Continuous unrealized loss securities, 12 months or more [Abstract]          
12 months or longer - Fair Value 857,439   857,439   342,027
12 months or longer - Unrealized Losses 325,107   325,107   363,610
Securities with continuous unrealized losses, Total [Abstract]          
Fair Value 11,422,183   11,422,183   36,464,354
Unrealized Losses 363,761   363,761   660,100
Other than temporary impairment credit losses recognized in earnings [Roll Forward]          
Beginning balance 3,506,073 3,438,673 3,506,073 3,438,673  
Amounts related to credit loss for which an other-than-temporary impairment was not previously recognized 0 0 0 0  
Additions/Subtractions [Abstract]          
Amounts realized for securities sold during the period 0 0 0 0  
Amounts related to securities for which the company intends to sell or that it will be more likely than not that the company will be required to sell prior to recovery of amortized cost basis 0 0 0 0  
Reductions for increase in cash flows expected to be collected that are recognized over the remaining life of the security 0 0 0 0  
Increases to the amount related to the credit loss for which other-than-temporary impairment was previously recognized 0 0 0 0  
Ending balance 3,506,073 3,438,673 3,506,073 3,438,673  
Obligations of U.S. Government and U.S. Government sponsored enterprises [Member]
         
Continuous unrealized loss securities, 12 months or less [Abstract]          
Less than 12 months - Fair Value 4,992,000   4,992,000   27,365,920
Less than 12 months - Unrealized Losses 8,000   8,000   83,671
Continuous unrealized loss securities, 12 months or more [Abstract]          
12 months or longer - Fair Value 0   0   0
12 months or longer - Unrealized Losses 0   0   0
Securities with continuous unrealized losses, Total [Abstract]          
Fair Value 4,992,000   4,992,000   27,365,920
Unrealized Losses 8,000   8,000   83,671
Collateralized Mortgage obligations [Member]
         
Continuous unrealized loss securities, 12 months or less [Abstract]          
Less than 12 months - Fair Value 553,923   553,923   2,546,461
Less than 12 months - Unrealized Losses 2,917   2,917   11,321
Continuous unrealized loss securities, 12 months or more [Abstract]          
12 months or longer - Fair Value 0   0   0
12 months or longer - Unrealized Losses 0   0   0
Securities with continuous unrealized losses, Total [Abstract]          
Fair Value 553,923   553,923   2,546,461
Unrealized Losses 2,917   2,917   11,321
Obligations of states and political subdivisions [Member]
         
Continuous unrealized loss securities, 12 months or less [Abstract]          
Less than 12 months - Fair Value 948,419   948,419   947,203
Less than 12 months - Unrealized Losses 5,541   5,541   3,083
Continuous unrealized loss securities, 12 months or more [Abstract]          
12 months or longer - Fair Value 0   0   0
12 months or longer - Unrealized Losses 0   0   0
Securities with continuous unrealized losses, Total [Abstract]          
Fair Value 948,419   948,419   947,203
Unrealized Losses 5,541   5,541   3,083
Corporate bonds and notes [Member]
         
Continuous unrealized loss securities, 12 months or less [Abstract]          
Less than 12 months - Fair Value 4,025,117   4,025,117   5,261,074
Less than 12 months - Unrealized Losses 17,489   17,489   196,446
Continuous unrealized loss securities, 12 months or more [Abstract]          
12 months or longer - Fair Value 512,734   512,734   0
12 months or longer - Unrealized Losses 10,528   10,528   0
Securities with continuous unrealized losses, Total [Abstract]          
Fair Value 4,537,851   4,537,851   5,261,074
Unrealized Losses 28,017   28,017   196,446
Trust Preferred securities [Member]
         
Continuous unrealized loss securities, 12 months or less [Abstract]          
Less than 12 months - Fair Value 0   0   0
Less than 12 months - Unrealized Losses 0   0   0
Continuous unrealized loss securities, 12 months or more [Abstract]          
12 months or longer - Fair Value 343,035   343,035   294,910
12 months or longer - Unrealized Losses 312,610   312,610   360,735
Securities with continuous unrealized losses, Total [Abstract]          
Fair Value 343,035   343,035   294,910
Unrealized Losses 312,610   312,610   360,735
Corporate stocks [Member]
         
Continuous unrealized loss securities, 12 months or less [Abstract]          
Less than 12 months - Fair Value 45,285   45,285   1,669
Less than 12 months - Unrealized Losses 4,707   4,707   1,969
Continuous unrealized loss securities, 12 months or more [Abstract]          
12 months or longer - Fair Value 1,670   1,670   47,117
12 months or longer - Unrealized Losses 1,969   1,969   2,875
Securities with continuous unrealized losses, Total [Abstract]          
Fair Value 46,955   46,955   48,786
Unrealized Losses 6,676   6,676   4,844
Mortgage-backed securities, residential [Member]
         
Available for Sale amortized cost [Abstract]          
Without single maturity date 38,178,813   38,178,813    
Available for Sale, Fair Value [Abstract]          
Without single maturity date 40,608,180   40,608,180    
held to maturity Amortized Cost [Abstract]          
Without single maturity date 0   0    
Held To Maturity Fair Value [Abstract]          
Without single maturity date 0   0    
Collateralized Mortgage obligations [Member]
         
Available for Sale amortized cost [Abstract]          
Without single maturity date 5,399,128   5,399,128    
Available for Sale, Fair Value [Abstract]          
Without single maturity date 5,487,056   5,487,056    
held to maturity Amortized Cost [Abstract]          
Without single maturity date 0   0    
Held To Maturity Fair Value [Abstract]          
Without single maturity date 0   0    
SBA loan pools [Member]
         
Available for Sale amortized cost [Abstract]          
Without single maturity date 1,828,325   1,828,325    
Available for Sale, Fair Value [Abstract]          
Without single maturity date 1,863,449   1,863,449    
held to maturity Amortized Cost [Abstract]          
Without single maturity date 0   0    
Held To Maturity Fair Value [Abstract]          
Without single maturity date 0   0    
Obligations of U.S. Government and U.S. Government sponsored enterprises [Member]
         
Available for sale securities amortized cost and fair value basis [Abstract]          
Amortized Cost 143,778,752   143,778,752   149,140,715
Unrealized Gains 3,581,127   3,581,127   3,022,726
Unrealized Losses 8,000   8,000   83,671
Estimated Fair Value 147,351,879   147,351,879   152,079,770
Mortgage-backed securities, residential [Member]
         
Available for sale securities amortized cost and fair value basis [Abstract]          
Amortized Cost 38,178,813   38,178,813   48,129,271
Unrealized Gains 2,429,367   2,429,367   2,637,334
Unrealized Losses 0   0   0
Estimated Fair Value 40,608,180   40,608,180   50,766,605
Collateralized Mortgage obligations [Member]
         
Available for sale securities amortized cost and fair value basis [Abstract]          
Amortized Cost 5,399,128   5,399,128   7,412,470
Unrealized Gains 90,845   90,845   135,603
Unrealized Losses 2,917   2,917   11,321
Estimated Fair Value 5,487,056   5,487,056   7,536,753
Obligations of states and political subdivisions [Member]
         
Available for sale securities amortized cost and fair value basis [Abstract]          
Amortized Cost 41,695,595   41,695,595   44,561,789
Unrealized Gains 1,737,291   1,737,291   1,954,265
Unrealized Losses 5,541   5,541   3,083
Estimated Fair Value 43,427,345   43,427,345   46,512,971
Held to maturity securities, amortized cost and fair value basis [Abstract]          
Amortized Cost 6,334,331   6,334,331   8,311,921
Unrealized Gains 763,815   763,815   864,035
Unrealized Losses 0   0   0
Estimated Fair Value 7,098,146   7,098,146   9,175,956
Corporate bonds and notes [Member]
         
Available for sale securities amortized cost and fair value basis [Abstract]          
Amortized Cost 13,435,143   13,435,143   13,461,675
Unrealized Gains 304,121   304,121   418,969
Unrealized Losses 28,017   28,017   196,446
Estimated Fair Value 13,711,247   13,711,247   13,684,198
SBA loan pools [Member]
         
Available for sale securities amortized cost and fair value basis [Abstract]          
Amortized Cost 1,828,325   1,828,325   1,915,419
Unrealized Gains 35,124   35,124   34,187
Unrealized Losses 0   0   0
Estimated Fair Value 1,863,449   1,863,449   1,949,606
Trust Preferred securities [Member]
         
Available for sale securities amortized cost and fair value basis [Abstract]          
Amortized Cost 2,542,121   2,542,121   2,538,286
Unrealized Gains 197,274   197,274   132,516
Unrealized Losses 312,610   312,610   360,735
Estimated Fair Value 2,426,785   2,426,785   2,310,066
Other than temporary impairment [Abstract]          
Number of pooled trust preferred securities 2   2    
Number of securities written down 1   1    
Information related to the pooled trust preferred security [Abstract]          
Credit quality as component in assessing fair value of impaired securities 1   1    
Corporate stocks [Member]
         
Available for sale securities amortized cost and fair value basis [Abstract]          
Amortized Cost 787,807   787,807   788,030
Unrealized Gains 5,284,374   5,284,374   5,246,655
Unrealized Losses 6,676   6,676   4,844
Estimated Fair Value 6,065,505   6,065,505   6,029,841
TPREF Funding II, Ltd. (Class B) [Member]
         
Information related to the pooled trust preferred security [Abstract]          
Book value of Pooled trust preferred security analyzed for currently performing collateral 629   629    
Other than temporary impairment losses investments     0    
Unrealized losses on security $ 304   $ 304