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Securities (Tables)
3 Months Ended
Mar. 31, 2014
Marketable Securities [Abstract]  
Schedule Of Amortized Costs, Gross Unrealized Gains And Losses, And Approximate Fair Values Of Securities Available-For-Sale
The amortized costs, gross unrealized gains and losses, and approximate fair values of securities available-for-sale (“AFS”) as of March 31, 2014 and December 31, 2013 were as follows:

 
Amortized
Unrealized
Unrealized
 
March 31, 2014
Cost
Gains
Losses
Fair Values
U.S. Government and federal agency
$
13,715

$
70

$
(454
)
$
13,331

Government-sponsored enterprises *
33,577

0

(1,724
)
31,853

Mortgage-backed securities
86,549

192

(1,418
)
85,323

Collateralized mortgage obligations
10,780

57

(74
)
10,763

States and political subdivisions
40,476

143

(1,235
)
39,384

 
$
185,097

$
462

$
(4,905
)
$
180,654

December 31, 2013




U.S. Government and federal agency
$
10,844

$
13

$
(550
)
$
10,307

Government-sponsored enterprises *
33,580

0

(2,269
)
31,311

Mortgage-backed securities
74,375

132

(2,118
)
72,389

Collateralized mortgage obligations
9,261

40

(107
)
9,194

States and political subdivisions
38,896

0

(2,236
)
36,660

 
$
166,956

$
185

$
(7,280
)
$
159,861

* Such as FNMA, FHLMC and FHLB.
Schedule Of Amortized Costs, Gross Unrealized Gains And Losses, And Approximate Fair Values Of Securities Held-To-Maturity
The amortized costs, gross unrealized gains and losses, and approximate fair values of securities held-to-maturity (“HTM”) as of March 31, 2014 and December 31, 2013 were as follows:
 
Amortized
Unrealized
Unrealized
 
March 31, 2014
Cost
Gains
Losses
Fair Values
U.S. Government and federal agency
$
7,066

$
168

$
(57
)
$
7,177

Mortgage-backed securities
134

9

0

143

Collateralized mortgage obligations
82

4

0

86

States and political subdivisions
14,225

562

0

14,787

 
$
21,507

$
743

$
(57
)
$
22,193

December 31, 2013
 
 
 
 
U.S. Government and federal agency
$
7,470

$
161

$
(76
)
$
7,555

Mortgage-backed securities
147

9

0

156

Collateralized mortgage obligations
93

5

0

98

States and political subdivisions
14,282

407

(27
)
14,662

 
$
21,992

$
582

$
(103
)
$
22,471

Schedule Of Maturity Ranges Of Securities Available-For-Sale And Held-To-Maturity, Weighted Average Yields Of Securities
The following tables present the maturity ranges of securities available-for-sale and held-to-maturity as of March 31, 2014 and the weighted average yields of such securities. Maturities may differ from scheduled maturities on mortgage-backed securities and collateralized mortgage obligations because the mortgages underlying the securities may be repaid prior to the scheduled maturity date. Maturities on all other securities are based on the contractual maturity. The weighted average yields are calculated on the basis of the cost and effective yields weighted for the scheduled maturity of each security. Weighted average yields on tax-exempt obligations have been computed on a taxable equivalent basis using a tax rate of 34%.

Investment Portfolio Maturity Distribution
 
Available-for-Sale
 
Held-to-Maturity
 
Amortized
Fair
 
 
Amortized
Fair
 
In thousands
Costs
Value
Yield
 
Costs
Value
Yield
U.S. Government and federal agency:
 
 
 
 
 
 
 
After five but within ten years
$
9,445

$
9,277

2.61
%
 
$
3,701

$
3,825

3.43
%
After ten years
4,270

4,054

2.32
%
 
3,365

3,352

3.21
%
Government-sponsored enterprises:






 






After one but within five years
5,000

4,890

1.25
%
 
0

0

0.00
%
After five but within ten years
18,605

17,975

1.72
%
 
0

0

0.00
%
After ten years
9,972

8,988

2.82
%
 
0

0

0.00
%
Obligations of states and subdivisions:






 






After one but within five years
5,039

5,080

1.90
%
 
499

527

3.35
%
After five but within ten years
12,476

12,155

2.38
%
 
2,836

2,960

3.98
%
After ten years
22,961

22,149

3.13
%
 
10,890

11,300

4.58
%
Mortgage-backed securities
86,549

85,323

2.27
%
 
134

143

4.76
%
Collateralized mortgage obligations
10,780

10,763

2.17
%
 
82

86

4.12
%
Total
$
185,097

$
180,654

 
 
$
21,507

$
22,193

 
 
 
 
 
 
 
 
 
Total Securities by Maturity Period
 
 
 
 
 
 
 
After one but within five years
$
10,039

$
9,970

 
 
$
499

$
527

 
After five but within ten years
40,526

39,407

 
 
6,537

6,785

 
After ten years
37,203

35,191

 
 
14,255

14,652

 
Mortgage-backed securities*
86,549

85,323

 
 
134

143

 
Collateralized mortgage obligations*
10,780

10,763

 
 
82

86

 
Total by Maturity Period
$
185,097

$
180,654

 
 
$
21,507

$
22,193

 

*  Maturities on mortgage-backed securities and collateralized mortgage obligations are not presented in this table because maturities may differ substantially from contractual terms due to early repayments of principal.
Schedule Of Unrealized Losses And Related Fair Values In The Bank's Available-For-Sale And Held-To-Maturity Investment Securities Portfolios
The following tables detail unrealized losses and related fair values in the Company’s available-for-sale and held-to-maturity investment securities portfolios.  This information is aggregated by the length of time that individual securities have been in a continuous unrealized loss position as of March 31, 2014 and December 31, 2013, respectively.

 
Temporarily Impaired Securities in AFS Portfolio
In thousands
Less than 12 months
Greater than 12 months
Total
 
 
Unrealized
 
Unrealized
 
Unrealized
March 31, 2014
Fair Value
Losses
Fair Value
Losses
Fair Value
Losses
U.S. Government and federal agency
$
9,271

$
(454
)
$
0

$
0

$
9,271

$
(454
)
Government-sponsored enterprises
20,509

(972
)
11,344

(752
)
31,853

(1,724
)
Mortgage-backed securities
56,338

(1,107
)
9,848

(311
)
66,186

(1,418
)
Collateralized mortgage obligations
3,627

(54
)
1,214

(20
)
4,841

(74
)
States and political subdivisions
22,771

(887
)
5,257

(348
)
28,028

(1,235
)
 
$
112,516

$
(3,474
)
$
27,663

$
(1,431
)
$
140,179

$
(4,905
)
December 31, 2013
 
 
 
 
 
 
U.S. Government and federal agency
$
9,287

$
(550
)
$
0

$
0

$
9,287

$
(550
)
Government-sponsored enterprises
16,797

(1,236
)
11,064

(1,033
)
27,861

(2,269
)
Mortgage-backed securities
62,336

(2,019
)
1,777

(99
)
64,113

(2,118
)
Collateralized mortgage obligations
5,050

(107
)
5

0

5,055

(107
)
States and political subdivisions
30,950

(1,744
)
4,838

(492
)
35,788

(2,236
)
 
$
124,420

$
(5,656
)
$
17,684

$
(1,624
)
$
142,104

$
(7,280
)

 
Temporarily Impaired Securities in HTM Portfolio
In thousands
Less than 12 months
Greater than 12 months
Total
 
 
Unrealized
 
Unrealized
 
Unrealized
March 31, 2014
Fair Value
Losses
Fair Value
Losses
Fair Value
Losses
U.S. Government and federal agency
2,343

57

0

0

2,343

57

States and political subdivisions
377

0

0

0

377

0

 
$
2,720

$
57

$
0

$
0

$
2,720

$
57



December 31, 2013
 
 
 
 
 
 
U.S. Government and federal agency
2,387

(76
)
0

0

2,387

(76
)
States and political subdivisions
1,842

(27
)
0

0

1,842

(27
)
 
$
4,229

$
(103
)
$
0

$
0

$
4,229

$
(103
)