12/31/05 12/31/04
Assets
Cash and Due From Banks 2,051,831.07 1,823,199.16
U.S. Treasury Bonds 15,403,105.95 15,197,083.4
U.S. Agency Bonds 10,955,524.68 10,936,834.16
Municipal Bonds 0.00 0.00
Bond Market Value Adjustment -290,040.63 -89,067.56
Loans 23,239,340.16 22,998,433.38
Federal Funds Sold 750,000 3,350,000
Bank Building/Furniture & Fixtures 472,128.28 358,048.91
Other Real Estate 361,278.02 221,303.04
All Other Assets 457,900.27 408,026.29
Total Assets 53,401,067.80 55,203,860.78

Liabilities
IPC Demand Deposits 5,819,946.89 5,028,348.71
IPC Time & Savings Deposits 33,626,093.18 35,243,856.2
U.S. Government Deposits 8,734.85 16,320.26
Municipal Deposits 4,886,283.33 6,008,626.44
Certified & Official Checks 240,841.22 249,418.3
Total Deposits 44,581,899.47 46,546,569.91

Other Liabilities 52,477.19 137,931.93

Equity Capital
Capital Stock 200,000.00 200,000
Surplus 2,800,000.00 2,800,000.00
Undivided Profits 5,780,456.20 5,392,434.20
Unrealized Bond Gain -191,426.82 -58,784.59
Total Equity Capital 8,589,029.38 8,333,649.61

Specific Reserves 177,661.76 185,709.33

Total Liabilities and Capital 53,401,067.80 55,203,860.78