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Fair Value (Details) (USD $)
Sep. 30, 2012
Dec. 31, 2011
Fair Value [Abstract]    
Liabilities measured at fair value $ 0 $ 0
Fair value, assets measured on recurring and nonrecurring basis [Abstract]    
Investment securities available for sale, Assets 14,731,000 14,883,000
Maximum amount of loan for internally developed evaluations 250,000  
Carrying Value [Member]
   
Fair value, assets measured on recurring and nonrecurring basis [Abstract]    
Investment securities available for sale, Assets 14,731,000 14,883,000
Significant Other Observable Inputs (Level 2) [Member] | Estimate Fair Value [Member]
   
Fair value, assets measured on recurring and nonrecurring basis [Abstract]    
Investment securities available for sale, Assets 14,731,000 14,883,000
Recurring [Member] | Estimate Fair Value [Member]
   
Fair value, assets measured on recurring and nonrecurring basis [Abstract]    
United States Treasury 3,500,000 [1] 4,013,000 [1]
United States Government Agency 2,000,000 [1]  
Mortgage-backed 9,126,000 [1] 10,592,000 [1]
Municipalities 105,000 [1] 278,000 [1]
Investment securities available for sale, Assets 14,731,000 [1] 14,883,000 [1]
Recurring [Member] | Significant Other Observable Inputs (Level 2) [Member] | Estimate Fair Value [Member]
   
Fair value, assets measured on recurring and nonrecurring basis [Abstract]    
United States Treasury 3,500,000 [1] 4,013,000 [1]
United States Government Agency 2,000,000 [1]  
Mortgage-backed 9,126,000 [1] 10,592,000 [1]
Municipalities 105,000 [1] 278,000 [1]
Investment securities available for sale, Assets 14,731,000 [1] 14,883,000 [1]
Nonrecurring [Member] | Estimate Fair Value [Member]
   
Fair value, assets measured on recurring and nonrecurring basis [Abstract]    
Impaired Loans Fair Value Disclosure 131,416,000 [2] 175,424,000 [2]
Other real estate owned 89,754,000 [3] 95,523,000 [3]
Nonrecurring [Member] | Significant Unobservable Inputs (Level 3) [Member] | Estimate Fair Value [Member]
   
Fair value, assets measured on recurring and nonrecurring basis [Abstract]    
Impaired Loans Fair Value Disclosure 131,416,000 [2] 175,424,000 [2]
Other real estate owned $ 89,754,000 [3] $ 95,523,000 [3]
[1] (1)Level 2 inputs for investment securities available for sale include pricing models from independent pricing sources with reasonable levels of price transparency.
[2] (1) Level 3 inputs for impaired loans include appraised value of the applicable collateral or other unobservable estimates of fair value.
[3] (2) Level 3 inputs for other real estate owned include appraised value of the foreclosed property or other unobservable estimates of fair value. Fair value is reduced by estimated costs to sell the properties.