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NOTE 13 - FAIR VALUE MEASUREMENTS (Detail) - (Table 5) (USD $)
In Thousands, unless otherwise specified
Sep. 30, 2012
Dec. 31, 2011
Carrying (Reported) Amount, Fair Value Disclosure [Member]
   
FINANCIAL ASSETS    
Cash and due from banks $ 19,436 $ 18,758
Federal funds sold 405 40,210
Time deposits at other financial institutions 2,210 1,959
FHLB, FRB and other securities 8,313 8,044
Securities:    
Available-for-sale 299,025 312,205
Held-to-maturity 6 6
Loans 478,473 443,559
Accrued interest receivable 2,296 2,557
Deposits:    
Nonmaturity deposits 581,135 766,239
Time deposits 177,341  
Subordinated debentures 21,651 31,961
Accrued interest payable 145 4,998
Fair Value, Inputs, Level 1 [Member]
   
FINANCIAL ASSETS    
Cash and due from banks 19,436  
Federal funds sold 405  
Time deposits at other financial institutions 2,210  
Deposits:    
Nonmaturity deposits 581,135  
Accrued interest payable 5  
Fair Value, Inputs, Level 2 [Member]
   
Securities:    
Available-for-sale 299,025  
Held-to-maturity 6  
Accrued interest receivable 773  
Deposits:    
Time deposits 177,929  
Accrued interest payable 57  
Fair Value, Inputs, Level 3 [Member]
   
Securities:    
Loans 499,040  
Accrued interest receivable 1,523  
Deposits:    
Subordinated debentures 9,315  
Accrued interest payable 83  
Total [Member]
   
FINANCIAL ASSETS    
Cash and due from banks 19,436  
Federal funds sold 405  
Time deposits at other financial institutions 2,210  
Securities:    
Available-for-sale 299,025  
Held-to-maturity 6  
Loans 499,040  
Accrued interest receivable 2,296  
Deposits:    
Nonmaturity deposits 581,135  
Time deposits 177,929  
Subordinated debentures 9,315  
Accrued interest payable $ 145