XML 43 R30.htm IDEA: XBRL DOCUMENT v2.4.0.6
Deposits (Tables)
6 Months Ended
Jun. 30, 2012
Deposits [Abstract]  
Summary Of Interest Bearing Deposits By Type
    June 30,   December 31,   June 30,
Dollars in thousands   2012   2011   2011
Demand deposits, interest bearing $ 164,868 $ 158,483 $ 150,004
Savings deposits   204,509   208,809   212,745
Retail time deposits   301,865   328,082   401,599
Wholesale deposits   234,256   232,471   195,782
Total $ $ 927,845 $ 960,130
Summary Of Scheduled Maturities For All Time Deposits
Dollars in thousands    
Six month period ending December 31, 2012 $ 121,663
Year ending December 31, 2013   161,769
Year ending December 31, 2014   56,747
Year ending December 31, 2015   54,873
Year ending December 31, 2016   72,163
Thereafter   68,906
  $ 536,121
Summary Of Maturity Distribution Of All Certificates Of Deposit
Dollars in thousands   Amount Percent  
Three months or less $ 30,193 8.2 %
Three through six months   46,319 12.6 %
Six through twelve months   46,751 12.7 %
Over twelve months   244,596 66.5 %
Total $ 367,859 100.0 %