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Fair Value Of Financial Instruments (Tables)
6 Months Ended
Jun. 30, 2020
Fair Value Of Financial Instruments [Abstract]  
Assets Measured On Recurring Basis

Fair Value Measurements Using:

Quoted Prices

Significant

in Active

Other

Significant

Markets for

Observable

Unobservable

Identical Assets

Inputs

Inputs

(in thousands)

Total

(Level 1)

(Level 2)

(Level 3)

June 30, 2020:

Financial Assets:

Available-for-Sale Securities:

State and municipals

$

373,556

$

$

371,819

$

1,737

Pass-through mortgage securities

116,997

116,997

Collateralized mortgage obligations

151,264

151,264

Corporate bonds

106,215

106,215

$

748,032

$

$

746,295

$

1,737

Financial Liabilities:

Derivative - interest rate swaps

$

7,820

$

$

7,820

$

December 31, 2019:

Financial Assets:

Available-for-Sale Securities:

State and municipals

$

382,143

$

$

380,299

$

1,844

Pass-through mortgage securities

61,372

61,372

Collateralized mortgage obligations

138,199

138,199

Corporate bonds

115,830

115,830

$

697,544

$

$

695,700

$

1,844

Financial Liabilities:

Derivative - interest rate swaps

$

4,418

$

$

4,418

$

Financial Instruments

Level of

June 30, 2020

December 31, 2019

Fair Value

Carrying

Carrying

(in thousands)

Hierarchy

Amount

Fair Value

Amount

Fair Value

Financial Assets:

Cash and cash equivalents

Level 1

$

173,740

$

173,740

$

38,968

$

38,968

Loans

Level 3

3,118,410

3,160,272

3,158,960

3,113,442

Restricted stock

Level 1

29,543

29,543

30,899

30,899

Financial Liabilities:

Checking deposits

Level 1

1,152,945

1,152,945

911,978

911,978

Savings, NOW and money market deposits

Level 1

1,701,266

1,701,266

1,720,599

1,720,599

Time deposits

Level 2

468,711

480,047

511,439

515,019

Short-term borrowings

Level 1

60,019

60,019

190,710

190,710

Long-term debt

Level 2

439,972

451,692

337,472

339,445