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Securities (Tables)
12 Months Ended
Dec. 31, 2014
Securities [Abstract]  
Schedule of amortized cost and estimated fair value of investment securities
     Gross  Gross  Estimated 
  Amortized  Unrealized  Unrealized  Fair 
  Cost  Gains  Losses  Value 
             
December 31, 2014            
             
Securities available for sale            
             
U.S. agency issued residential mortgage-backed securities $45,626  $834  $124  $46,336 
U.S. agency issued residential collateralized mortgage obligations  27,031   247   262   27,016 
Privately issued residential collateralized mortgage obligations  28   1   0   29 
Nonrated SBA loan fund  950   0   0   950 
Other equity securities  47   0   0   47 
                 
Totals $73,682   1,082   386  $74,378 
                 
Securities held to maturity                
                 
Obligations of states and political subdivisions $67,836  $1,517  $162  $69,191 
Nonrated trust preferred securities  1,543   26   155   1,414 
Nonrated senior subordinated notes  400   4   0   404 
                 
Totals $69,779  $1,547  $317  $71,009 
                 
December 31, 2013                
                 
Securities available for sale                
                 
U.S. Treasury securities and obligations of U.S. government corporations and agencies $1,001  $0  $2  $999 
U.S. agency issued residential mortgage-backed securities  21,388   522   424   21,486 
U.S. agency issued residential collateralized mortgage obligations  37,998   482   576   37,904 
Privately issued residential collateralized mortgage obligations  102   3   0   105 
Obligations of states and political subdivision  159   0   0   159 
Nonrated SBA loan fund  950   0   0   950 
Other equity securities  47   0   0   47 
                 
Totals $61,645  $1,007  $1,002  $61,650 
                 
Securities held to maturity                
                 
Obligations of states and political subdivisions $69,704  $1,059  $887  $69,876 
Nonrated trust preferred securities  1,524   30   165   1,389 
Nonrated senior subordinated notes  401   6   0   407 
                 
Totals $71,629  $1,095  $1,052  $71,672 
Schedule of securities in an unrealized loss position
  Less Than 12 Months  12 Months or More  Total 
  Fair  Unrealized  Fair  Unrealized  Fair  Unrealized 
Description of Securities Value  Loss  Value  Loss  Value  Loss 
                   
2014                  
                   
Securities available for sale                  
                   
U.S. agency issued residential mortgage-backed securities $5,555  $22  $6,787  $102  $12,342  $124 
U.S. agency issued residential collateralized mortgage obligations  3,267   16   9,844   246   13,111   262 
                         
Totals $8,822  $38  $16,631  $348  $25,453  $386 
                         
Securities held to maturity                        
                         
Obligations of states and political subdivisions $4,015  $38  $6,103  $124  $10,118  $162 
Nonrated trust preferred securities  0   0   706   155   706   155 
                         
Totals $4,015  $38  $6,809  $279  $10,824  $317 

 

  Less Than 12 Months  12 Months or More  Total 
                   
  Fair  Unrealized  Fair  Unrealized  Fair  Unrealized 
Description of Securities Value  Loss  Value  Loss  Value  Loss 
                   
2013                  
                   
Securities available for sale                  
                   
U.S. Treasury securities and obligations of U.S. government corporations and agencies $999  $2  $0  $0  $999  $2 
U.S. agency issued residential mortgage-backed securities  13,206   424   0   0   13,206   424 
U.S. agency issued residential collateralized mortgage obligations  14,179   334   5,830   242   20,009   576 
Obligations of states and political subdivisions  159   0   0   0   159   0 
                         
Totals $28,543  $760  $5,830  $242  $34,373  $1,002 
                         
Securities held to maturity                        
                         
Obligations of states and political subdivisions $23,017  $806  $1,073  $81  $24,090  $887 
Non rated trust preferred securities  368   102   322   63   690   165 
                         
Totals $23,385  $908  $1,395  $144  $24,780  $1,052 
Schedule of amortized cost and estimated fair value of debt securities and nonrated trust preferred securities by contractual maturity
  Available for Sale  Held to Maturity 
     Estimated     Estimated 
  Amortized  Fair  Amortized  Fair 
  Cost  Value  Cost  Value 
             
Due in one year or less $0  $0  $4,568  $4,588 
Due after one year through five years  0   0   24,288   24,885 
Due after five years through ten years  0   0   37,826   38,531 
Due after ten years  0   0   3,097   3,005 
                 
Subtotals  0   0   69,779   71,009 
Mortgage-backed securities and collateralized mortgage obligations  72,685   73,381   0   0 
                 
Totals $72,685  $73,381  $69,779  $71,009 
Schedule of amortization of unrealized gain on securities
2015 $274 
2016  194 
2017  115 
2018  68 
2019  22 
Thereafter  22 
     
Total $695