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Investment Securities (Securities by Contractual Maturity) (Details) - USD ($)
$ in Thousands
Jun. 30, 2016
Dec. 31, 2015
Amortized Cost    
Due in one year or less $ 8,817  
Due after one year through five years 16,106  
Due after five years through ten years 43,248  
Due after ten years 41,696  
Total 109,867  
Fair Value    
Due in one year or less 8,855  
Due after one year through five years 16,239  
Due after five years through ten years 44,307  
Due after ten years 41,926  
Available for sale, at fair value $ 111,327 $ 91,422
Yield    
Due in one year or less 2.57%  
Due after one year through five years 1.75%  
Due after five years through ten years 2.61%  
Due after ten years 2.64%  
Total 2.48%  
Carrying Value    
Due in one year or less $ 15,974  
Due after one year through five years 16,076  
Due after five years through ten years 27,633  
Due after ten years 62,952  
Carrying Value, Total 122,635 123,261
Fair Value    
Due in one year or less 15,991  
Due after one year through five years 16,806  
Due after five years through ten years 29,203  
Due after ten years 65,899  
Held to maturity, fair value $ 127,899 $ 127,157
Yield    
Due in one year or less 1.16%  
Due after one year through five years 4.15%  
Due after five years through ten years 3.58%  
Due after ten years 3.29%  
Total 3.21%