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SECURITIES (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2014
item
Jun. 30, 2013
Jun. 30, 2014
item
Jun. 30, 2013
Dec. 31, 2013
Available for sale securities          
Amortized Cost $ 832,988   $ 832,988   $ 889,360
Gross Unrealized Gains 25,669   25,669   16,995
Gross Unrealized Losses (6,283)   (6,283)   (15,249)
Fair Value 852,374   852,374   891,106
Available for Sale, Amortized Cost          
Within one year 14,698   14,698    
One through five years 48,256   48,256    
Six through ten years 123,579   123,579    
After ten years 124,741   124,741    
Equity securities 4,689   4,689    
Total available for sale securities 832,988   832,988   889,360
Available for Sale, Fair Value          
Within one year 14,902   14,902    
One through five years 50,133   50,133    
Six through ten years 130,050   130,050    
After ten years 134,325   134,325    
Equity securities 4,689   4,689    
Fair Value 852,374   852,374   891,106
Available for sale securities          
Proceeds from sales of securities 21,972 964 21,972 78,354  
Gross gains realized on sales 542 11 542 910  
Gross losses realized on sales 546 22 546 77  
Securities in a continuous unrealized loss position with unrealized losses presented by length of time          
Less than 12 months, Fair Value 29,270   29,270   413,275
Less than 12 months, Unrealized Losses (299)   (299)   (14,631)
12 months or longer, Fair Value 230,899   230,899   9,246
12 months or longer, Unrealized Losses (5,984)   (5,984)   (618)
Total Fair Value 260,169   260,169   422,521
Total Unrealized Losses (6,283)   (6,283)   (15,249)
Other-Than-Temporary-Impairment          
Number of general segments segregated in investment securities portfolio     2    
Number of security in the portfolio     1,012    
Number of portfolio security in unrealized loss position 112   112    
Decline in fair value of security attributable to change in interest rates and illiquidity     920    
U. S. government agency
         
Available for sale securities          
Amortized Cost 638   638   793
Gross Unrealized Gains 5   5   5
Fair Value 643   643   798
Available for Sale, Amortized Cost          
Total available for sale securities 638   638   793
Available for Sale, Fair Value          
Fair Value 643   643   798
State and municipal
         
Available for sale securities          
Amortized Cost 307,124   307,124   321,151
Gross Unrealized Gains 18,699   18,699   12,173
Gross Unrealized Losses (566)   (566)   (2,212)
Fair Value 325,257   325,257   331,112
Available for Sale, Amortized Cost          
Total available for sale securities 307,124   307,124   321,151
Available for Sale, Fair Value          
Fair Value 325,257   325,257   331,112
Securities in a continuous unrealized loss position with unrealized losses presented by length of time          
Less than 12 months, Fair Value 2,186   2,186   31,660
Less than 12 months, Unrealized Losses (9)   (9)   (1,791)
12 months or longer, Fair Value 21,018   21,018   4,153
12 months or longer, Unrealized Losses (557)   (557)   (421)
Total Fair Value 23,204   23,204   35,813
Total Unrealized Losses (566)   (566)   (2,212)
Mortgage-backed securities-residential (GSE's)
         
Available for sale securities          
Amortized Cost 150,596   150,596   186,054
Gross Unrealized Gains 4,205   4,205   3,175
Gross Unrealized Losses (920)   (920)   (3,800)
Fair Value 153,881   153,881   185,429
Available for Sale, Amortized Cost          
Debt securities without single maturity date 150,596   150,596    
Total available for sale securities 150,596   150,596   186,054
Available for Sale, Fair Value          
Debt securities without single maturity date 153,881   153,881    
Fair Value 153,881   153,881   185,429
Securities in a continuous unrealized loss position with unrealized losses presented by length of time          
Less than 12 months, Fair Value         114,036
Less than 12 months, Unrealized Losses         (3,800)
12 months or longer, Fair Value 51,920   51,920    
12 months or longer, Unrealized Losses (920)   (920)    
Total Fair Value 51,920   51,920   114,036
Total Unrealized Losses (920)   (920)   (3,800)
Collateralized mortgage obligations (GSE's)
         
Available for sale securities          
Amortized Cost 366,429   366,429   372,896
Gross Unrealized Gains 2,760   2,760   1,642
Gross Unrealized Losses (4,795)   (4,795)   (9,229)
Fair Value 364,394   364,394   365,309
Available for Sale, Amortized Cost          
Debt securities without single maturity date 366,429   366,429    
Total available for sale securities 366,429   366,429   372,896
Available for Sale, Fair Value          
Debt securities without single maturity date 364,394   364,394    
Fair Value 364,394   364,394   365,309
Securities in a continuous unrealized loss position with unrealized losses presented by length of time          
Less than 12 months, Fair Value 27,084   27,084   267,579
Less than 12 months, Unrealized Losses (290)   (290)   (9,040)
12 months or longer, Fair Value 156,962   156,962   4,100
12 months or longer, Unrealized Losses (4,505)   (4,505)   (189)
Total Fair Value 184,046   184,046   271,679
Total Unrealized Losses (4,795)   (4,795)   (9,229)
Other-Than-Temporary-Impairment          
Other than temporary impairment on available for sale securities     0    
Equity securities
         
Available for sale securities          
Amortized Cost 4,689   4,689   4,939
Fair Value 4,689   4,689   4,939
Available for Sale, Amortized Cost          
Total available for sale securities 4,689   4,689   4,939
Available for Sale, Fair Value          
Fair Value 4,689   4,689   4,939
Other securities
         
Available for sale securities          
Amortized Cost 3,512   3,512   3,527
Gross Unrealized Losses (2)   (2)   (8)
Fair Value 3,510   3,510   3,519
Available for Sale, Amortized Cost          
Total available for sale securities 3,512   3,512   3,527
Available for Sale, Fair Value          
Fair Value 3,510   3,510   3,519
Securities in a continuous unrealized loss position with unrealized losses presented by length of time          
12 months or longer, Fair Value 999   999   993
12 months or longer, Unrealized Losses (2)   (2)   (8)
Total Fair Value 999   999   993
Total Unrealized Losses $ (2)   $ (2)   $ (8)
Other-Than-Temporary-Impairment          
Number of single issue trust preferred securities to which the unrealized losses on other securities are related     1