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Note 5: Accounting For Certain Loans Acquired in A Transfer: Schedule of Loans Acquired in Transfer Credit Impaired (Details) (USD $)
Dec. 31, 2013
Jun. 30, 2013
Residential Mortgage
   
Certain Loans and Debt Securities Acquired in Transfer, Allowance for Credit Losses Due to Subsequent Impairment $ 2,085,113 $ 2,096,135
Commercial Real Estate
   
Certain Loans and Debt Securities Acquired in Transfer, Allowance for Credit Losses Due to Subsequent Impairment 1,299,293 1,323,361
Commercial Loan
   
Certain Loans and Debt Securities Acquired in Transfer, Allowance for Credit Losses Due to Subsequent Impairment 1,401,778 1,707,442
Outstanding balance
   
Certain Loans and Debt Securities Acquired in Transfer, Allowance for Credit Losses Due to Subsequent Impairment 4,786,184 5,126,938
Carrying amount
   
Certain Loans and Debt Securities Acquired in Transfer, Allowance for Credit Losses Due to Subsequent Impairment $ 3,868,751 [1] $ 4,105,396 [1]
[1] Net of fair value adjustment of $917,433 and $1,021,542 at December 31, and June 30, 2013, respectively.