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FAIR VALUE OF FINANCIAL INSTRUMENTS, Valuation Techniques (Details) (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2013
Dec. 31, 2012
Fair Value Measurements, Recurring and Nonrecurring, Valuation Techniques [Line Items]    
Fair Value Asset Valuation Approach Broker Quotation Weighting (in hundredths) 10.00%  
Fair Value Asset Valuation Approach Internal Cash Flow Valuation Model Weighting (in hundredths) 45.00%  
Fair Value Asset Valuation Approach Independent Cash Flow Valuation Model Weighting (in hundredths) 45.00%  
Purchase discount rate on Trust Preferred valuation minimum value (in hundredths) 1.60%  
Purchase discount maximum value (in hundredths) 2.40%  
Purchase discount rate trust preferred valueation maximum value (in hundredths) 2.20%  
Current Discount Rate Trust Preferred Valuation Minimum Value (in hundredths) 5.10%  
Current discount rate trust preferred valuation maximum value 8.60%  
Current discount trust preferred valuation weighted average rate- Pooled Trust Preferred Held To Maturity Securities (in hundredths) 6.10%  
Utilized default rates trust preferred valuation minimum value 0.00%  
Utilized default rates trust preferred valuation maximum value 4.00%  
Utilized default rates trust preferred valuation weighted average value 1.10%  
Fair Value Inputs Standard Default Percentage Over Three Years (in hundredths) 1.20%  
Fair Value Asset Valuation Approach Cash Flow Model Estimated Recovery Rate (in hundredths) 10.00%  
Outstanding Principal Balance Of Impaired Loans Measured At Fair Value $ 12,392 $ 6,922
Recorded balance of impaired loans measured at fair value 1,320 0
Recorded balance of impaired loans measured at fair value $ 10,909