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LOANS, Analysis of Changes in the Allowances for Loan Losses (Details) (USD $)
3 Months Ended 9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Sep. 30, 2013
Sep. 30, 2012
Allowance for loan losses [Abstract]        
Balance, Beginning of Period $ 17,293,000 $ 29,227,000 $ 17,781,000 $ 39,958,000
Charge-offs (141,000) (21,338,000) (1,964,000) (31,420,000)
Recoveries 467,000 1,132,000 1,802,000 2,883,000
Provision for loan losses 0 12,000,000 0 9,600,000
Balance, End of Period 17,619,000 21,021,000 17,619,000 21,021,000
Number of months of performance trouble debt restructuring returns to accrual status     6 months  
Threshold for non-accrual loans to be evaluated individually for impairment 250,000   250,000  
Allowance for loan and lease losses, period increase (decrease) 326,000      
Commercial and Industrial [Member]
       
Allowance for loan losses [Abstract]        
Balance, Beginning of Period 4,778,000 15,082,000 6,181,000 25,047,000
Charge-offs (60,000) (6,689,000) (1,687,000) (7,816,000)
Recoveries 390,000 462,000 1,600,000 2,086,000
Provision for loan losses (1,870,000) (327,000) (2,856,000) (10,789,000)
Balance, End of Period 3,238,000 8,528,000 3,238,000 8,528,000
Allowance for loan and lease losses, period increase (decrease) (1,500,000)      
Period increase (decrease) in specific reserves (34,000)      
Increase (decrease) in historical loss factors (in basis points) (84)      
Commercial and Industrial [Member] | Unimpaired Pass Rated Loans [Member]
       
Allowance for loan losses [Abstract]        
Period increase (decrease) in balance of unimpaired pass rated loans (5,000,000)      
Commercial Real Estate [Member]
       
Allowance for loan losses [Abstract]        
Balance, Beginning of Period 6,701,000 8,088,000 5,999,000 10,470,000
Charge-offs (70,000) (8,102,000) (70,000) (15,794,000)
Recoveries 12,000 0 85,000 0
Provision for loan losses 485,000 6,752,000 1,114,000 12,062,000
Balance, End of Period 7,128,000 6,738,000 7,128,000 6,738,000
Allowance for loan and lease losses, period increase (decrease) 427,000      
Commercial Real Estate [Member] | Unimpaired Pass Rated Loans [Member]
       
Allowance for loan losses [Abstract]        
Period increase (decrease) in balance of unimpaired pass rated loans 34,000,000      
Multifamily [Member]
       
Allowance for loan losses [Abstract]        
Balance, Beginning of Period 529,000 93,000 150,000 559,000
Charge-offs 0 0 0 0
Recoveries 0 0 0 0
Provision for loan losses 903,000 (41,000) 1,282,000 (507,000)
Balance, End of Period 1,432,000 52,000 1,432,000 52,000
Allowance for loan and lease losses, period increase (decrease) 903,000      
Multifamily [Member] | Unimpaired Pass Rated Loans [Member]
       
Allowance for loan losses [Abstract]        
Period increase (decrease) in balance of unimpaired pass rated loans 79,000,000      
Real Estate Construction [Member]
       
Allowance for loan losses [Abstract]        
Balance, Beginning of Period 278,000 163,000 141,000 623,000
Charge-offs 0 (2,123,000) 0 (2,123,000)
Recoveries 0 260,000 0 340,000
Provision for loan losses (4,000) 1,762,000 133,000 1,222,000
Balance, End of Period 274,000 62,000 274,000 62,000
Residential Mortgages [Member]
       
Allowance for loan losses [Abstract]        
Balance, Beginning of Period 2,341,000 1,634,000 1,576,000 2,401,000
Charge-offs 0 (2,885,000) (74,000) (3,473,000)
Recoveries 4,000 112,000 5,000 114,000
Provision for loan losses 218,000 2,289,000 1,056,000 2,108,000
Balance, End of Period 2,563,000 1,150,000 2,563,000 1,150,000
Home Equity [Member]
       
Allowance for loan losses [Abstract]        
Balance, Beginning of Period 1,059,000 2,008,000 907,000 512,000
Charge-offs 0 (1,360,000) 0 (1,953,000)
Recoveries 5,000 246,000 7,000 246,000
Provision for loan losses 17,000 449,000 167,000 2,538,000
Balance, End of Period 1,081,000 1,343,000 1,081,000 1,343,000
Consumer [Member]
       
Allowance for loan losses [Abstract]        
Balance, Beginning of Period 247,000 176,000 189,000 313,000
Charge-offs (11,000) (179,000) (133,000) (261,000)
Recoveries 56,000 52,000 105,000 97,000
Provision for loan losses (59,000) 121,000 72,000 21,000
Balance, End of Period 233,000 170,000 233,000 170,000
Unallocated [Member]
       
Allowance for loan losses [Abstract]        
Balance, Beginning of Period 1,360,000 1,983,000 2,638,000 33,000
Charge-offs 0 0 0 0
Recoveries 0 0 0 0
Provision for loan losses 310,000 995,000 (968,000) 2,945,000
Balance, End of Period $ 1,670,000 $ 2,978,000 $ 1,670,000 $ 2,978,000