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Note 7 - Securities Available for Sale (Tables)
6 Months Ended
Dec. 31, 2015
Investments, Debt and Equity Securities [Abstract]  
Schedule of Available-for-sale Securities Reconciliation [Table Text Block]
(in thousands)   Amortized   Gross Unrealized   Fair
    Cost   Gains   Losses   Value
U.S. Treasury Notes   $ 47,321     $ 242     $ -     $ 47,563  
Corporate debt securities     13,364       -       (134 )     13,230  
Agency MBS     34,510       33       (316 )     34,227  
Securities of state and political subdivisions     205       1       -       206  
Mutual fund investment     1,215       92       -       1,307  
Total securities available-for-sale   $ 96,615     $ 368     $ (450 )   $ 96,533  
(in thousands)   Amortized   Gross Unrealized   Fair
    Cost   Gains   Losses   Value
U.S. Treasury Notes   $ 47,286     $ 484     $ -     $ 47,770  
Corporate debt securities     13,165       18       (31 )     13,152  
Agency MBS     18,765       53       (149 )     18,669  
Securities of state and political subdivisions     406       6       -       412  
Mutual fund investment     1,215       -       (6 )     1,209  
Total securities available-for-sale   $ 80,837     $ 561     $ (186 )   $ 81,212  
Available-for-sale Securities [Table Text Block]
    Amortized Cost   Fair Value
    (in thousands)
Due in one year or less   $ 205     $ 206  
Due after one year but less than 5 years     60,685       60,793  
Due after five years     34,510       34,227  
No stated maturity     1,215       1,307  
Total securities available-for-sale   $ 96,615     $ 96,533  
Available-for-sale Securities, Continuous Unrealized Loss Position, Fair Value [Table Text Block]
    Less than 12 Months   12 Months or More   Total
    Unrealized Loss   Estimated Fair Value   Unrealized Loss   Estimated Fair Value   Unrealized Loss   Estimated Fair Value
    (in thousands)
At December 31, 2015                        
Corporate debt securities   $ (134 )   $ 13,230     $ -     $ -     $ (134 )   $ 13,230  
Agency MBS     (316 )     29,999       -       -       (316 )     29,999  
Total   $ (450 )   $ 43,229     $ -     $ -     $ (450 )   $ 43,229  
                                                 
At June 30, 2015                                                
Corporate debt securities   $ (31 )   $ 8,388     $ -     $ -     $ (31 )   $ 8,388  
Agency MBS     (149 )     14,170       -       -       (149 )     14,170  
Mutual fund investments     (6 )     1,209       -       -       (6 )     1,209  
Total   $ (186 )   $ 23,767     $ -     $ -     $ (186 )   $ 23,767