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Loans Receivable, Net (Schedule of loans evaluated individually for impairment and collectively evaluated for impairment in the allowance for loan losses) (Details) (USD $)
3 Months Ended 9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Sep. 30, 2013
Sep. 30, 2012
Financing Receivable, Allowance for Credit Losses [Line Items]        
Balance At Beginning of Period $ 11,007,279 $ 12,684,327 $ 11,318,371 $ 14,261,374
Provision for Loan Losses 600,000 300,000 2,645,381 2,975,000
Charge Offs 1,002,990 1,411,300 3,470,300 5,850,835
Recoveries 45,042 73,132 155,879 260,620
Balance At End of Period 10,649,331 11,646,159 10,649,331 11,646,159
Residential Real Estate 1 [Member]
       
Financing Receivable, Allowance for Credit Losses [Line Items]        
Balance At Beginning of Period 1,665,871 2,030,522 1,521,559 2,416,356
Provision for Loan Losses 175,482 50,497 431,317 147,559
Charge Offs 212,876 192,026 324,399 684,681
Recoveries 0 330 0 10,089
Balance At End of Period 1,628,477 1,889,323 1,628,477 1,889,323
Consumer [Member]
       
Financing Receivable, Allowance for Credit Losses [Line Items]        
Balance At Beginning of Period 888,913 1,251,799 1,001,271 996,780
Provision for Loan Losses (26,974) (80,555) (42,636) 1,327,579
Charge Offs 27,916 113,799 143,991 1,296,004
Recoveries 18,953 2,901 38,332 31,991
Balance At End of Period 852,976 1,060,346 852,976 1,060,346
Commercial Business [Member]
       
Financing Receivable, Allowance for Credit Losses [Line Items]        
Balance At Beginning of Period 488,554 473,224 618,919 720,405
Provision for Loan Losses (66,101) (9,339) (201,148) (68,840)
Charge Offs 0 28,736 4,436 217,466
Recoveries 10,219 4,087 19,337 5,137
Balance At End of Period 432,672 439,236 432,672 439,236
Commercial Real Estate 1 [Member]
       
Financing Receivable, Allowance for Credit Losses [Line Items]        
Balance At Beginning of Period 7,963,941 8,928,782 8,176,622 10,127,833
Provision for Loan Losses 517,593 339,397 2,457,848 1,568,702
Charge Offs 762,198 1,076,739 2,997,474 3,652,684
Recoveries 15,870 65,814 98,210 213,403
Balance At End of Period $ 7,735,206 $ 8,257,254 $ 7,735,206 $ 8,257,254