XML 110 R100.htm IDEA: XBRL DOCUMENT v3.19.1
Note 5: Accounting For Certain Loans Acquired in A Transfer: Schedule of Acquired Loans With Credit Deterioration (Details) - USD ($)
Mar. 31, 2019
Jun. 30, 2018
Outstanding balance    
Certain Loans and Debt Securities Acquired in Transfer, Allowance for Credit Losses Due to Subsequent Impairment $ 36,175 $ 17,387
Carrying Amount Of Acquired Loans Net    
Certain Loans and Debt Securities Acquired in Transfer, Allowance for Credit Losses Due to Subsequent Impairment [1] 28,204 14,571
Consumer Loan    
Certain Loans and Debt Securities Acquired in Transfer, Allowance for Credit Losses Due to Subsequent Impairment 0 0
Commercial Loan    
Certain Loans and Debt Securities Acquired in Transfer, Allowance for Credit Losses Due to Subsequent Impairment 7,895 3,073
Construction Loan Payable    
Certain Loans and Debt Securities Acquired in Transfer, Allowance for Credit Losses Due to Subsequent Impairment 1,417 1,544
Residential Real Estate    
Certain Loans and Debt Securities Acquired in Transfer, Allowance for Credit Losses Due to Subsequent Impairment 2,058 3,861
Commercial Real Estate    
Certain Loans and Debt Securities Acquired in Transfer, Allowance for Credit Losses Due to Subsequent Impairment $ 24,805 $ 8,909
[1] Fair value adjustment of $7,971 and $2,816 at March 31, 2019 and June 30, 2018, respectively.