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Fair Value (Details 2) (USD $)
3 Months Ended 12 Months Ended
Mar. 31, 2013
Dec. 31, 2012
Impaired loans held-for-investment    
Impaired loans held-for-investment $ 18,381,000 $ 19,644,000
Specific valuation allowance (3,026,000) (2,740,000)
Impaired loans held-for-investment carried at fair value    
Partial charge-offs 83,000 2,694,000
Additional provision for loan losses 757,000 3,856,000
Net carrying amount of foreclosed assets 738,000 1,270,000
Valuation allowance on foreclosed assets 0 0
Carried at fair value
   
Impaired loans held-for-investment    
Impaired loans held-for-investment 11,032,000 11,912,000
Carried at cost
   
Impaired loans held-for-investment    
Impaired loans held-for-investment 7,349,000 7,732,000
Carried at fair value, net
   
Impaired loans held-for-investment    
Impaired loans held-for-investment carried at fair value, net $ 8,006,000 $ 9,172,000