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5. Investment Securities (Tables)
6 Months Ended
Jun. 30, 2016
Table Text Block Supplement [Abstract]  
Schedule of Available-for-sale Securities Reconciliation

The following is a summary of the Company's investment portfolio: 

(In 000’s) June 30, 2016
    Gross Gross  
  Amortized Unrealized unrealized Fair
  Cost Gains losses Value
Available-for-sale:        
U.S. Government agency securities $  2,950 $      3   $   -    $  2,953  
Government Sponsored Enterprises residential   mortgage-backed securities 3,517 103 -    3,620
Investments in money market funds 130 - -    130
  $6,597 $  106    $   -   $  6,703  
  December 31, 2015
    Gross Gross  
  Amortized Unrealized Unrealized Fair
  Cost Gains Losses Value
Available-for-sale:        
U.S. Government agency securities $  3,697 $      3 $   (38) $   3,662
Government Sponsored Enterprises residential mortgage-backed securities 3,774 36      (30)  3,780
Investments in money market funds 130    -         -     130
  $  7,601 $   39 $   (68) $  7,572
         
Schedule of Investments Classified by Contractual Maturity Date

The amortized cost and fair value of debt securities classified as available-for-sale by contractual maturity as of June 30, 2016, are as follows:

 

(In 000’s) Amortized Cost   Fair Value
Due in one year   $-      $- 
Due after one year through five years   -      - 
Due after five years through ten years   2,950      2,953 
Government Sponsored Enterprises residential mortgage-backed securities   3,517      3,620 
Total debt securities   6,467      6,573 
Investments in money market funds   130      130 
    $6,597      $6,703 
Schedule of Unrealized Loss on Investments

The table below indicates the length of time individual securities have been in a continuous unrealized loss position at June 30, 2016:

  Number Less than 12 months 12 months or longer Total
Description of Of Fair Unrealized Fair Unrealized Fair Unrealized
Securities Securities Value Losses Value losses value Losses
               
U.S. Government              
   agency securities 9    $ 2,703    $ 3    $ -    $ -    $ 2,703    $ 3   
               
Government Sponsored Enterprises residential              
   mortgage-backed securities 55    2,042    50    53    1,341    3,383    103   
Total temporarily              
impaired investment              
    Securities 64    $ 4,745    $ 53    $ 53    $ 1,341    $ 6,086    $ 106   

 

The table below indicates the length of time individual securities have been in a continuous unrealized loss position at December 31, 2015:

  Number Less than 12 months 12 months or longer Total
Description of of Fair Unrealized Fair Unrealized Fair Unrealized
Securities securities Value Losses Value losses value Losses
U.S. Government              
    agency securities 9    $ 2,416    $ (32)   $ 243    $ (6)   $ 2,659    $ (38)  
               
Government Sponsored Enterprises residential              
   mortgage-backed securities 8    1,486    (19)   227    (11)   1,713    (30)  
Total temporarily              
impaired investment              
    securities 17    $ 3,902    $ (51)   $ 470    $ (17)   $ 4,372    $ (68)