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Securities - General Disclosures (Details)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2018
USD ($)
item
Jun. 30, 2017
USD ($)
Jun. 30, 2018
USD ($)
item
Jun. 30, 2017
USD ($)
Dec. 31, 2017
USD ($)
Securities          
Equity securities consisting of common stock and money market mutual funds, fair value $ 5,689   $ 5,689   $ 5,378
Available for sale          
Amortized Cost 886,535   886,535   877,459
Gross Unrealized Gains 723   723   1,912
Gross Unrealized Losses (15,920)   (15,920)   (6,689)
Fair Value 871,338   871,338   872,682
Held to maturity          
Amortized Cost 507,780   507,780   443,550
Gross Unrealized Gains 134   134   294
Gross Unrealized Losses (11,199)   (11,199)   (2,792)
Fair Value 496,715   496,715   441,052
Available for sale, Amortized Cost          
Due in one year or less 77,340   77,340    
Due after one year through five years 324,776   324,776    
Due after five years through ten years 164,557   164,557    
Due after ten years 319,862   319,862    
Amortized Cost 886,535   886,535   877,459
Available for sale, Fair Value          
Due in one year or less 77,103   77,103    
Due after one year through five years 320,789   320,789    
Due after five years through ten years 162,163   162,163    
Due after ten years 311,283   311,283    
Fair Value 871,338   871,338   872,682
Held to maturity, Amortized Cost          
Due in one year or less 8,505   8,505    
Due after one year through five years 58,742   58,742    
Due after five years through ten years 30,266   30,266    
Due after ten years 410,267   410,267    
Amortized Cost 507,780   507,780   443,550
Held to maturity, Fair Value          
Due in one year or less 8,484   8,484    
Due after one year through five years 57,794   57,794    
Due after five years through ten years 29,571   29,571    
Due after ten years 400,866   400,866    
Fair Value 496,715   496,715   441,052
Realized gains and losses related to sales of securities          
Gross security gains   $ 1   $ 969  
Gross security (losses)   (5)   (116)  
Security (losses) gains, net   $ (4)   853  
Tax provision related to net realized gains (losses)       $ 300  
Available for sale, Fair Value          
Continuous unrealized losses existing for less than 12 months, gross 654,894   654,894   540,033
Continuous unrealized losses existing for greater than 12 months, gross 123,719   123,719   127,806
Total 778,613   778,613   667,839
Available for sale, Unrealized Losses          
Continuous unrealized losses existing for less than 12 months, gross (10,833)   (10,833)   (3,623)
Continuous unrealized losses existing for greater than 12 months, gross (5,087)   (5,087)   (3,066)
Total (15,920)   (15,920)   (6,689)
Held to maturity, Fair Value          
Continuous unrealized losses existing for less than 12 months, gross 442,830   442,830   340,279
Continuous unrealized losses existing for greater than 12 months, gross 2,267   2,267   2,374
Total 445,097   445,097   342,653
Held to maturity, Unrealized Losses          
Continuous unrealized losses existing for less than 12 months, gross (11,035)   (11,035)   (2,709)
Continuous unrealized losses existing for greater than 12 months, gross (164)   (164)   (83)
Total $ (11,199)   $ (11,199)   (2,792)
Number of securities in unrealized loss position | item 834   834    
Securities in unrealized loss position as a percentage of aggregate carrying value of investments 2.17%   2.17%    
Collateral          
Realized gains and losses related to sales of securities          
Carrying amount of investment securities pledged as collateral $ 593,500   $ 593,500   638,200
Money market mutual funds          
Securities          
Equity securities consisting of common stock and money market mutual funds, fair value 5,700   5,700   4,600
U.S. Treasury securities          
Available for sale          
Amortized Cost 61,035   61,035   60,829
Gross Unrealized Gains         7
Gross Unrealized Losses (1,077)   (1,077)   (488)
Fair Value 59,958   59,958   60,348
Available for sale, Amortized Cost          
Amortized Cost 61,035   61,035   60,829
Available for sale, Fair Value          
Fair Value 59,958   59,958   60,348
Available for sale, Fair Value          
Continuous unrealized losses existing for less than 12 months, gross 59,885   59,885   59,773
Total 59,885   59,885   59,773
Available for sale, Unrealized Losses          
Continuous unrealized losses existing for less than 12 months, gross (1,077)   (1,077)   (488)
Total (1,077)   (1,077)   (488)
U.S. Treasury securities | Maximum          
Available for sale          
Gross Unrealized Gains 1   1    
Obligations of U.S. government corporations and agencies          
Available for sale          
Amortized Cost 96,454   96,454   104,807
Gross Unrealized Gains 4   4   1
Gross Unrealized Losses (1,961)   (1,961)   (1,143)
Fair Value 94,497   94,497   103,665
Available for sale, Amortized Cost          
Amortized Cost 96,454   96,454   104,807
Available for sale, Fair Value          
Fair Value 94,497   94,497   103,665
Available for sale, Fair Value          
Continuous unrealized losses existing for less than 12 months, gross 69,054   69,054   78,610
Continuous unrealized losses existing for greater than 12 months, gross 24,593   24,593   24,831
Total 93,647   93,647   103,441
Available for sale, Unrealized Losses          
Continuous unrealized losses existing for less than 12 months, gross (1,284)   (1,284)   (636)
Continuous unrealized losses existing for greater than 12 months, gross (677)   (677)   (507)
Total (1,961)   (1,961)   (1,143)
Obligations of states and political subdivisions          
Available for sale          
Amortized Cost 249,092   249,092   280,216
Gross Unrealized Gains 441   441   1,160
Gross Unrealized Losses (2,879)   (2,879)   (1,177)
Fair Value 246,654   246,654   280,199
Held to maturity          
Amortized Cost 38,870   38,870   41,300
Gross Unrealized Gains 60   60   228
Gross Unrealized Losses (164)   (164)   (64)
Fair Value 38,766   38,766   41,464
Available for sale, Amortized Cost          
Amortized Cost 249,092   249,092   280,216
Available for sale, Fair Value          
Fair Value 246,654   246,654   280,199
Held to maturity, Amortized Cost          
Amortized Cost 38,870   38,870   41,300
Held to maturity, Fair Value          
Fair Value 38,766   38,766   41,464
Available for sale, Fair Value          
Continuous unrealized losses existing for less than 12 months, gross 195,490   195,490   162,213
Continuous unrealized losses existing for greater than 12 months, gross 14,978   14,978   12,045
Total 210,468   210,468   174,258
Available for sale, Unrealized Losses          
Continuous unrealized losses existing for less than 12 months, gross (2,668)   (2,668)   (1,027)
Continuous unrealized losses existing for greater than 12 months, gross (211)   (211)   (150)
Total (2,879)   (2,879)   (1,177)
Held to maturity, Fair Value          
Continuous unrealized losses existing for less than 12 months, gross 27,304   27,304   17,939
Total 27,304   27,304   17,939
Held to maturity, Unrealized Losses          
Continuous unrealized losses existing for less than 12 months, gross (164)   (164)   (64)
Total (164)   (164)   (64)
Residential mortgage-backed securities          
Available for sale          
Amortized Cost 363,309   363,309   400,661
Gross Unrealized Gains 233   233   612
Gross Unrealized Losses (9,487)   (9,487)   (3,837)
Fair Value 354,055   354,055   397,436
Held to maturity          
Amortized Cost 408,628   408,628   341,776
Gross Unrealized Gains 74   74   25
Gross Unrealized Losses (9,473)   (9,473)   (2,431)
Fair Value 399,229   399,229   339,370
Available for sale, Amortized Cost          
Amortized Cost 363,309   363,309   400,661
Available for sale, Fair Value          
Fair Value 354,055   354,055   397,436
Held to maturity, Amortized Cost          
Amortized Cost 408,628   408,628   341,776
Held to maturity, Fair Value          
Fair Value 399,229   399,229   339,370
Available for sale, Fair Value          
Continuous unrealized losses existing for less than 12 months, gross 246,040   246,040   223,261
Continuous unrealized losses existing for greater than 12 months, gross 84,148   84,148   90,930
Total 330,188   330,188   314,191
Available for sale, Unrealized Losses          
Continuous unrealized losses existing for less than 12 months, gross (5,288)   (5,288)   (1,428)
Continuous unrealized losses existing for greater than 12 months, gross (4,199)   (4,199)   (2,409)
Total (9,487)   (9,487)   (3,837)
Held to maturity, Fair Value          
Continuous unrealized losses existing for less than 12 months, gross 359,073   359,073   277,826
Total 359,073   359,073   277,826
Held to maturity, Unrealized Losses          
Continuous unrealized losses existing for less than 12 months, gross (9,473)   (9,473)   (2,431)
Total (9,473)   (9,473)   (2,431)
Corporate debt securities          
Available for sale          
Amortized Cost 116,645   116,645   30,946
Gross Unrealized Gains 45   45   132
Gross Unrealized Losses (516)   (516)   (44)
Fair Value 116,174   116,174   31,034
Available for sale, Amortized Cost          
Amortized Cost 116,645   116,645   30,946
Available for sale, Fair Value          
Fair Value 116,174   116,174   31,034
Available for sale, Fair Value          
Continuous unrealized losses existing for less than 12 months, gross 84,425   84,425   16,176
Total 84,425   84,425   16,176
Available for sale, Unrealized Losses          
Continuous unrealized losses existing for less than 12 months, gross (516)   (516)   (44)
Total (516)   (516)   (44)
Commercial mortgage-backed securities          
Held to maturity          
Amortized Cost 60,282   60,282   60,474
Gross Unrealized Gains         41
Gross Unrealized Losses (1,562)   (1,562)   (297)
Fair Value 58,720   58,720   60,218
Held to maturity, Amortized Cost          
Amortized Cost 60,282   60,282   60,474
Held to maturity, Fair Value          
Fair Value 58,720   58,720   60,218
Held to maturity, Fair Value          
Continuous unrealized losses existing for less than 12 months, gross 56,453   56,453   44,514
Continuous unrealized losses existing for greater than 12 months, gross 2,267   2,267   2,374
Total 58,720   58,720   46,888
Held to maturity, Unrealized Losses          
Continuous unrealized losses existing for less than 12 months, gross (1,398)   (1,398)   (214)
Continuous unrealized losses existing for greater than 12 months, gross (164)   (164)   (83)
Total (1,562)   (1,562)   (297)
Common Stock          
Securities          
Equity securities consisting of common stock and money market mutual funds, fair value         $ 800
Realized security gains $ 200   200    
Non-interest income | Common Stock          
Securities          
Unrealized losses recorded     $ (100)