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SECURITIES - AMORTIZED COST AND FAIR VALUE BY CONTRACTUAL MATURITY (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2016
Jun. 30, 2015
Jun. 30, 2016
Jun. 30, 2015
Dec. 31, 2015
Amortized Cost          
Due after one year through five years $ 23,522   $ 23,522    
Due after five years through ten years 56,998   56,998    
Due after ten years 45,967   45,967    
Securities due at a single maturity date 126,487   126,487    
Amortized Cost 260,052   260,052   $ 263,667
Fair Value          
Due after one year through five years 24,190   24,190    
Due after five years through ten years 58,900   58,900    
Due after ten years 48,644   48,644    
Securities due at a single maturity date 131,734   131,734    
Fair Value 266,722   266,722   264,212
Sales of securities          
Proceeds from sales of securities 12,100 $ 9,100 21,388 $ 9,051  
Gross gains realized on sales of securities 151 243 277 251  
Gross losses realized on sales of securities 0 0 0 0  
Tax provision related to realized gains 51 $ 83 94 $ 85  
Mortgage-backed - residential          
Amortized Cost          
Amortized Cost 133,245   133,245   124,834
Fair Value          
Fair Value 134,638   134,638   123,043
Equity securities          
Amortized Cost          
Amortized Cost 320   320   320
Fair Value          
Fair Value $ 350   $ 350   $ 344