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7. Allowance For Loan Losses (Summary Of Analysis Of Allowance For Loan Losses) (Details) (USD $)
In Thousands, unless otherwise specified
6 Months Ended 12 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Dec. 31, 2013
Beginning balance $ 12,659 $ 17,933 $ 17,933
Total, Losses 4,174 6,465 10,959
Total Recoveries 521 154 1,185
Net losses 3,653 6,311 9,774
Provision for loan losses 2,000 2,500 4,500
Ending balance 11,006 14,122 12,659
Commercial Loan [Member]
     
Beginning balance 1,324    
Total, Losses 390 54 723
Total Recoveries 17 4 12
Provision for loan losses 124    
Ending balance 1,075   1,324
Owner Occupied [Member]
     
Beginning balance 969    
Total, Losses 11 66 1,031
Total Recoveries 31 2 8
Provision for loan losses 8    
Ending balance 997   969
Non Owner Occupied [Member]
     
Beginning balance 641    
Total, Losses 0 9 9
Total Recoveries 4 0 674
Provision for loan losses 98    
Ending balance 743   641
Land And Land Development [Member]
     
Beginning balance 5,455    
Total, Losses 3,533 2,166 3,596
Total Recoveries 165 9 187
Provision for loan losses 1,722    
Ending balance 3,809   5,455
Construction Loans [Member]
     
Beginning balance 269    
Total, Losses 0 0 0
Total Recoveries 0 0 0
Provision for loan losses 85    
Ending balance 354   269
Non Jumbo [Member]
     
Beginning balance 1,842    
Total, Losses 46 384 541
Total Recoveries 53 43 127
Provision for loan losses (318)    
Ending balance 1,531   1,842
Jumbo [Member]
     
Beginning balance 1,888    
Total, Losses 63 3,625 4,741
Total Recoveries 163 3 6
Provision for loan losses 93    
Ending balance 2,081   1,888
Home Equity [Member]
     
Beginning balance 173    
Total, Losses 0 76 77
Total Recoveries 3 1 5
Provision for loan losses 83    
Ending balance 259   173
Consumer Portfolio Segment [Member]
     
Beginning balance 47    
Total, Losses 80 34 79
Total Recoveries 41 37 79
Provision for loan losses 38    
Ending balance 46   47
Other
     
Beginning balance 51    
Total, Losses 51 51 162
Total Recoveries 44 55 87
Provision for loan losses 67    
Ending balance $ 111   $ 51