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FAIR VALUE MEASUREMENTS (Tables)
9 Months Ended
Sep. 30, 2019
Fair Value Disclosures [Abstract]  
Schedule of financial assets and financial liabilities measured at fair value on a recurring basis
Level 1  Level 2  Level 3  Total Fair
(Dollars in Thousands)InputsInputsInputsValue
September 30, 2019
ASSETS:
Securities Available for Sale:
U.S. Government Treasury$217,265$-$-$217,265
U.S. Government Agency-138,038-138,038
States and Political Subdivisions-13,044-13,044
Mortgage-Backed Securities-787-787
Equity Securities -7,847-7,847
December 31, 2018
ASSETS:
Securities Available for Sale:
U.S. Government Treasury$261,849$-$-$261,849
U.S. Government Agency-133,206-133,206
States and Political Subdivisions-42,365-42,365
Mortgage-Backed Securities-943-943
Equity Securities -7,794-7,794
Schedule of financial instruments with estimated fair values
  September 30, 2019
CarryingLevel 1Level 2Level 3
(Dollars in Thousands)ValueInputsInputsInputs
ASSETS:
Cash$61,151$61,151$-$-
Short-Term Investments177,389177,389--
Investment Securities, Available for Sale376,981217,265159,716-
Investment Securities, Held to Maturity240,30325,014216,873-
Equity Securities(1)3,588-3,588-
Loans Held for Sale13,075-13,075-
Loans, Net of Allowance for Loan Losses1,813,434--1,798,311
LIABILITIES:
Deposits$2,473,007$-$2,471,837$-
Short-Term Borrowings10,622-10,622-
Subordinated Notes Payable52,887-40,281-
Long-Term Borrowings6,963-7,080-

  December 31, 2018
CarryingLevel 1Level 2Level 3
(Dollars in Thousands)ValueInputsInputsInputs
ASSETS:
Cash$62,032$62,032$-$-
Short-Term Investments213,968213,968--
Investment Securities, Available for Sale446,157261,849184,308-
Investment Securities, Held to Maturity217,32034,611179,802-
Loans Held for Sale6,869-6,869-
Equity Securities(1)3,591-3,591-
Loans, Net of Allowance for Loan Losses1,760,015--1,730,161
LIABILITIES:
Deposits$2,531,856$-$2,529,841$-
Short-Term Borrowings13,541-13,541-
Subordinated Notes Payable52,887-42,359-
Long-Term Borrowings8,568-7,879-