Quarterly report pursuant to Section 13 or 15(d)

OTHER COMPREHENSIVE INCOME (LOSS) (Tables)

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OTHER COMPREHENSIVE INCOME (LOSS) (Tables)
3 Months Ended
Mar. 31, 2014
Equity [Abstract]  
Amounts allocated to other comprehensive income (loss)

The amounts allocated to other comprehensive income (loss) are presented in the table below. Reclassification adjustments related to securities held for sale are included in net gain (loss) on securities transactions in the accompanying consolidated statements of comprehensive income. For the periods presented, reclassifications adjustments related to securities held for sale was not material.

 

 (Dollars in Thousands)   Before
Tax Amount
  Tax
(Expense)
Benefit
  Net of
Tax Amount
March 31, 2014                        
Investment Securities:                        
Change in net unrealized (gain) loss   $ (5 )   $ 2     $ (3 )
      Amortization of losses on securities transferred from available for sale to held  to maturity     20       (8 )     12  
      Total Other Comprehensive Income   $ 15     $ (6 )   $ 9  
                         
March 31, 2013                        
Investment Securities:                        
Change in net unrealized (gain) loss   $ 7     $ (1 )   $ 6  
                Total Other Comprehensive Income   $ 7     $ (1 )   $ 6
Activity in accumulated other comprehensive loss, net of tax

Accumulated other comprehensive loss was comprised of the following components:

 

 (Dollars in Thousands)   Securities Available for Sale   Retirement Plans   Accumulated Other Comprehensive Loss
Balance as of January 1, 2014   $ (132 )   $ (8,408 )   $ (8,540 )
Other comprehensive income during the period     9       —         9  
Balance as of March 31, 2014   $ (123 )   $ (8,408 )   $ (8,531 )
                         
Balance as of January 1, 2013   $ 573     $ (30,132 )   $ (29,599 )
Other comprehensive income during the period     6       —         6  
Balance as of March 31, 2013   $ 579     $ (30,132 )   $ (29,553 )