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Note 9 - Other Borrowings and Unused Lines of Credit (Tables)
12 Months Ended
Dec. 31, 2013
Debt Disclosure [Abstract]  
Schedule of Debt [Table Text Block]
   

2013

   

2012

 
                 

Wholesale repurchase agreements

  $ 130,000,000     $ 130,000,000  

Term note

    9,800,000       -  

364-day revolving note

    -       5,600,000  

Series A subordinated notes

    2,648,362       2,639,762  
    $ 142,448,362     $ 138,239,762  
Schedule of Wholesale Repurchase Agreements [Table Text Block]
   

December 31, 2013

   

December 31, 2012

 
   

Amount Due

   

Weighted

Average

Interest Rate

at Year-End

   

Amount Due

   

Weighted

Average

Interest Rate

at Year-End

 

Maturity:

                                   

Year ending December 31:

                                   

2015

  $ 5,000,000       2.77 %     $ 35,000,000       3.00 %  

2016

    -       0.00         20,000,000       3.46    

2017

    10,000,000       3.00         10,000,000       3.00    

Thereafter

    115,000,000       3.25         65,000,000       3.71    

Total Wholesale Structured Repurchase Agreements

  $ 130,000,000       3.21       $ 130,000,000       3.43    
Schedule of Unused Lines of Credit [Table Text Block]
   

2013

   

2012

 
                 

Secured

  $ 26,791,107     $ 52,703,791  

Unsecured

    324,500,000       259,000,000  
    $ 351,291,107     $ 311,703,791