XML 42 R30.htm IDEA: XBRL DOCUMENT v3.19.2
Acquisition (Tables)
6 Months Ended
Jun. 30, 2019
Schedule of Preliminary Estimated Fair Value Amounts Assigned to Major Asset and Liability Categories at Acquisition Date
The following table presents the amounts recorded on the consolidated balance sheet on the acquisition date (dollars in thousands):
         
Fair value of consideration paid:
   
 
Common stock issued (1,289,371 shares)
  $
58,087
 
         
Fair value of identifiable assets acquired:
   
 
Cash and cash equivalents
   
18,653
 
Securities
available-for-sale
   
64,501
 
Loans
   
266,327
 
Identifiable intangible assets
   
3,167
 
Other assets
   
15,375
 
         
Total identifiable assets acquired
   
368,023
 
         
Fair value of liabilities assumed:
   
 
Deposits
   
341,902
 
Other liabilities
   
(373
)
         
Total liabilities assumed
   
341,529
 
         
Fair value of net identifiable assets acquired
   
26,494
 
         
Goodwill resulting from acquisition
  $
31,593