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Investment Securities (Schedule Of Additional Information Related To Single Issuer And Pooled Trust Preferred Securities) (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2015
Dec. 31, 2014
Schedule of Available for Sale Securities and Held to Maturity Securities [Line Items]    
Book value $ 93,590 $ 93,765
Fair value 91,599 91,914
Single Issuers [Member]    
Schedule of Available for Sale Securities and Held to Maturity Securities [Line Items]    
Fair value 15,047 14,593
Single Issuers [Member] | Security A [Member]    
Schedule of Available for Sale Securities and Held to Maturity Securities [Line Items]    
Book value 1,904  
Fair value 2,000  
Unrealized gain/(loss) $ 96  
Credit rating Not rated  
Single Issuers [Member] | Security B [Member]    
Schedule of Available for Sale Securities and Held to Maturity Securities [Line Items]    
Book value $ 9,014  
Fair value 5,558  
Unrealized gain/(loss) $ (3,456)  
Credit rating Not rated  
Pooled [Member]    
Schedule of Available for Sale Securities and Held to Maturity Securities [Line Items]    
Fair value $ 76,552 $ 77,321
Pooled [Member] | Pool A [Member]    
Schedule of Available for Sale Securities and Held to Maturity Securities [Line Items]    
Class Mezzanine  
Book value $ 52  
Fair value $ 52  
Credit rating CAA3