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FAIR VALUE OF FINANCIAL INSTRUMENTS (Details 3) (USD $)
In Thousands, unless otherwise specified
Mar. 31, 2013
Dec. 31, 2012
Financial assets:    
Cash and due from banks $ 5,102 $ 5,384
Interest-bearing deposits with banks 40,030 34,803
Certificates of deposit 100 100
Other investments 874 995
Loans-net 180,101 187,489
Cash surrender value of life insurance 9,682 9,620
Financial liabilities:    
Deposits 339,395 340,593
Advances from Federal Home Loan Bank 287 292
Commitments to extend credit
   
Off-balance-sheet financial instruments:    
Notional amount 20,015 24,335
Commercial letters of credit
   
Off-balance-sheet financial instruments:    
Notional amount 2,218 2,218
Level 1
   
Financial assets:    
Cash and due from banks 5,102 5,384
Interest-bearing deposits with banks 40,030 34,803
Certificates of deposit 100 100
Other investments 874 995
Cash surrender value of life insurance 9,682 9,620
Level 2
   
Financial assets:    
Investment securities 131,640 131,246
Financial liabilities:    
Deposits 332,761 334,105
Advances from Federal Home Loan Bank 287 292
Level 3
   
Financial assets:    
Loans-net 180,534 188,233
Carrying Value
   
Financial assets:    
Cash and due from banks 5,102 5,384
Interest-bearing deposits with banks 40,030 34,803
Certificates of deposit 100 100
Investment securities 131,624 131,222
Other investments 874 995
Loans-net 180,101 187,489
Cash surrender value of life insurance 9,682 9,620
Financial liabilities:    
Deposits 339,395 340,593
Advances from Federal Home Loan Bank 287 292
Estimated Fair Value
   
Financial assets:    
Cash and due from banks 5,102 5,384
Interest-bearing deposits with banks 40,030 34,803
Certificates of deposit 100 100
Investment securities 131,640 131,246
Other investments 874 995
Loans-net 180,534 188,233
Cash surrender value of life insurance 9,682 9,620
Financial liabilities:    
Deposits 332,761 334,105
Advances from Federal Home Loan Bank   $ 292