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Investment Securities - Fair Value (Details) - USD ($)
$ in Thousands
Dec. 31, 2015
Dec. 31, 2014
Reconciliation of amortized cost to fair value of investment securities reported as available for sale    
Total $ 450,131 $ 353,971
Gross Unrealized Gains 4,741 4,147
Gross Unrealized Losses (3,937) (2,538)
Fair Value 450,935 355,580
Obligations of U.S. government agencies    
Reconciliation of amortized cost to fair value of investment securities reported as available for sale    
Total 47,478 19,562
Gross Unrealized Gains 269 191
Gross Unrealized Losses (429) (89)
Fair Value 47,318 19,664
Mortgage-backed securities - U.S. government sponsored entities and agencies    
Reconciliation of amortized cost to fair value of investment securities reported as available for sale    
Total 246,561 216,492
Gross Unrealized Gains 986 1,092
Gross Unrealized Losses (2,312) (2,186)
Fair Value 245,235 215,398
Mortgage-backed securities - Non-agency    
Reconciliation of amortized cost to fair value of investment securities reported as available for sale    
Total 34,645 11,891
Gross Unrealized Gains   21
Gross Unrealized Losses (328) (11)
Fair Value 34,317 11,901
State and municipal securities    
Reconciliation of amortized cost to fair value of investment securities reported as available for sale    
Total 105,164 79,810
Gross Unrealized Gains 3,486 2,843
Gross Unrealized Losses (244) (61)
Fair Value 108,406 82,592
Asset backed securities    
Reconciliation of amortized cost to fair value of investment securities reported as available for sale    
Total 16,183 26,216
Gross Unrealized Losses (556) (191)
Fair Value 15,627 $ 26,025
Other investments    
Reconciliation of amortized cost to fair value of investment securities reported as available for sale    
Total 100  
Gross Unrealized Losses (68)  
Fair Value $ 32