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Fair Value Disclosures and Reporting, the Fair Value Option and Fair Value Measurements (Schedule of Carrying Amounts and Estimated Fair Values of Financial Instruments) (Details) - USD ($)
$ in Thousands
Jun. 30, 2015
Dec. 31, 2014
Financial Assets:    
Investment securities available for sale $ 506,919 $ 511,883
Carrying Amount [Member]    
Financial Assets:    
Cash and cash equivalents 46,690 50,095
Investment securities available for sale 506,919 511,883
Loans and leases, net held for investment 1,054,738 956,265
Collateral dependent impaired loans 9,948 4,791
Cash surrender value of life insurance policies 43,720 42,989
Other investments 7,546 7,042
Investment in limited partnership 6,793 7,276
Accrued interest receivable 5,638 5,852
Financial Liabilities:    
Noninterest-bearing 431,348 390,897
Interest-bearing 1,040,242 975,798
Fed funds purchased and Repurchase agreements 11,272 7,251
Short-term borrowings 11,700 18,200
Long-term borrowings 2,000 6,000
Subordinated debentures 30,928 30,928
Limited partnership capital commitment 795 914
Accrued Interest Payable 107 137
Fair Value [Member]    
Financial Assets:    
Cash and cash equivalents 46,690 50,095
Investment securities available for sale 506,919 511,883
Loans and leases, net held for investment 1,070,772 966,599
Collateral dependent impaired loans 9,948 4,791
Cash surrender value of life insurance policies 43,720 42,989
Other investments 7,546 7,042
Investment in limited partnership 6,793 7,276
Accrued interest receivable 5,638 5,852
Financial Liabilities:    
Noninterest-bearing 431,348 390,897
Interest-bearing 1,040,413 976,002
Fed funds purchased and Repurchase agreements 11,272 7,251
Short-term borrowings 11,700 18,200
Long-term borrowings 2,007 6,000
Subordinated debentures 11,753 11,428
Limited partnership capital commitment 795 914
Accrued Interest Payable 107 137
Fair Value [Member] | Fair Value, Inputs, Level 1 [Member]    
Financial Assets:    
Cash and cash equivalents 46,690 50,095
Investment securities available for sale $ 1,489 $ 2,222
Loans and leases, net held for investment    
Collateral dependent impaired loans    
Cash surrender value of life insurance policies    
Other investments    
Investment in limited partnership    
Accrued interest receivable    
Financial Liabilities:    
Noninterest-bearing $ 431,348 $ 390,897
Interest-bearing    
Fed funds purchased and Repurchase agreements    
Short-term borrowings    
Long-term borrowings    
Subordinated debentures    
Limited partnership capital commitment    
Accrued Interest Payable    
Fair Value [Member] | Fair Value, Inputs, Level 2 [Member]    
Financial Assets:    
Cash and cash equivalents    
Investment securities available for sale $ 505,430 $ 509,661
Loans and leases, net held for investment 1,070,772 966,599
Collateral dependent impaired loans 9,948 4,791
Cash surrender value of life insurance policies 43,720 42,989
Other investments 7,546 7,042
Investment in limited partnership 6,793 7,276
Accrued interest receivable $ 5,638 $ 5,852
Financial Liabilities:    
Noninterest-bearing    
Interest-bearing $ 1,040,413 $ 976,002
Fed funds purchased and Repurchase agreements 11,272 7,251
Short-term borrowings 11,700 18,200
Long-term borrowings 2,007 6,000
Subordinated debentures 11,753 11,428
Limited partnership capital commitment 795 914
Accrued Interest Payable $ 107 $ 137
Fair Value [Member] | Fair Value, Inputs, Level 3 [Member]    
Financial Assets:    
Cash and cash equivalents    
Investment securities available for sale    
Loans and leases, net held for investment    
Collateral dependent impaired loans    
Cash surrender value of life insurance policies    
Other investments    
Investment in limited partnership    
Accrued interest receivable    
Financial Liabilities:    
Noninterest-bearing    
Interest-bearing    
Fed funds purchased and Repurchase agreements    
Short-term borrowings    
Long-term borrowings    
Subordinated debentures    
Limited partnership capital commitment    
Accrued Interest Payable