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SECURITIES (Details) (USD $)
In Thousands, unless otherwise specified
6 Months Ended 12 Months Ended
Jun. 30, 2013
Dec. 31, 2012
Amortized Cost $ 60,115  
Unrealized Gains 1,214 1,630
Unrealized Losses 496 50
Estimated Fair Value 60,833 75,387
Amortized Cost 72,083 69,822
Unrealized Gains 1,863  
Unrealized Losses 650  
Fair Value 73,296 72,364
US Treasury securities and obligations of US Government corps and agencies
   
Amortized Cost 1,004 9,998
Unrealized Gains    29
Unrealized Losses 7   
Estimated Fair Value 997 10,027
US agency issued residential mortgage-backed securities
   
Amortized Cost 19,583 13,550
Unrealized Gains 593 847
Unrealized Losses 273   
Estimated Fair Value 19,903 14,397
US agency issued residential collateralized mortgage obligations
   
Amortized Cost 38,408 44,544
Unrealized Gains 617 749
Unrealized Losses 216 50
Estimated Fair Value 38,809 45,243
Privately issued residential collateralized mortgage obligations
   
Amortized Cost 123 168
Unrealized Gains 4 5
Unrealized Losses      
Estimated Fair Value 127 173
Nonrated commercial paper
   
Amortized Cost   5,500
Unrealized Gains     
Unrealized Losses     
Estimated Fair Value   5,500
Nonrated SBA Loan Fund
   
Amortized Cost 950  
Unrealized Gains     
Unrealized Losses     
Estimated Fair Value 950  
Other equity securities
   
Amortized Cost 47 47
Unrealized Gains      
Unrealized Losses      
Estimated Fair Value 47 47
Obligations of states and political subdivisions
   
Amortized Cost 70,166 67,915
Unrealized Gains 1,822 2,581
Unrealized Losses 472 41
Fair Value 71,516 70,455
Nonrated trust preferred securities
   
Amortized Cost 1,515 1,505
Unrealized Gains 36 60
Unrealized Losses 178 66
Fair Value 1,373 1,499
Nonrated senior subordinated notes
   
Amortized Cost 402 402
Unrealized Gains 5 8
Unrealized Losses      
Fair Value $ 407 $ 410