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Note 6: Deposits: Schedule of Deposit Liabilities (Details) - USD ($)
$ in Thousands
Jun. 30, 2016
Jun. 30, 2015
Noninterest-bearing Deposit Liabilities $ 131,996 $ 117,471
Deposits, Negotiable Order of Withdrawal (NOW) 396,105 336,097
Deposits, Money Market Deposits 78,155 67,752
Deposits, Savings Deposits 115,714 131,884
Total Non-Maturity Deposits 721,970 653,204
Interest-bearing Domestic Deposit, Certificates of Deposits 398,723 402,038
Deposits, Domestic 1,120,693 1,055,242
0.00-.99%    
Interest-bearing Domestic Deposit, Certificates of Deposits 205,387 234,845
1.00-1.99%    
Interest-bearing Domestic Deposit, Certificates of Deposits 162,180 124,608
2.00-2.99%    
Interest-bearing Domestic Deposit, Certificates of Deposits 28,135 30,613
3.00-3.99%    
Interest-bearing Domestic Deposit, Certificates of Deposits 20 5,987
5.00-5.99%    
Interest-bearing Domestic Deposit, Certificates of Deposits $ 3,001 $ 5,985