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Securities (Tables)
6 Months Ended
Jun. 30, 2012
Securities Tables  
Book values and approximate fair values of investment securities

 

    June 30, 2012     December 31, 2011  
    Amortized     Fair     Unrealized     Amortized     Fair     Unrealized  
($ in thousands)   Cost     Value     Gains     (Losses)     Cost     Value     Gains     (Losses)  
                                                 
Securities available for sale:                                                                
 Government-sponsored enterprise securities   $ 29,504       29,626       122             34,511       34,665       170      (16 )
 Mortgage-backed securities     115,674       119,536       3,862             120,032       124,105       4,164       (91 )
 Corporate bonds     13,186       13,139       253       (300 )     13,189       12,488       279       (980 )
 Equity securities     9,195       9,606       438       (27 )     10,998       11,368       409       (39 )
Total available for sale   $ 167,559       171,907       4,675       (327 )     178,730       182,626       5,022       (1,126 )
                                                                 
Securities held to maturity:                                                                
 State and local governments   $ 56,182       61,676       5,494             57,988       62,754       4,766        
Total held to maturity   $ 56,182       61,676       5,494             57,988       62,754       4,766        

Information regarding securities with unrealized losses

 

 

($ in thousands)

  Securities in an Unrealized
Loss Position for
Less than 12 Months
    Securities in an Unrealized
Loss Position for
More than 12 Months
    Total  
  Fair Value     Unrealized
Losses
    Fair Value     Unrealized
Losses
    Fair Value     Unrealized
Losses
 
 Government-sponsored enterprise securities   $                                
 Mortgage-backed securities                                    
 Corporate bonds                 5,029       300       5,029       300  
 Equity securities                 31       27       31       27  
 State and local governments                                    
     Total temporarily impaired securities   $             5,060       327       5,060       327  

 

The following table presents information regarding securities with unrealized losses at December 31, 2011:

 

 

($ in thousands)

  Securities in an Unrealized
Loss Position for
Less than 12 Months
    Securities in an Unrealized
Loss Position for
More than 12 Months
    Total  
    Fair Value     Unrealized
Losses
    Fair Value     Unrealized
Losses
    Fair Value     Unrealized
Losses
 
 Government-sponsored enterprise securities   $ 8,984       16                   8,984       16  
 Mortgage-backed securities     14,902       61       9,302       30       24,204       91  
 Corporate bonds     4,588       458       2,773       522       7,361       980  
 Equity securities     4       2       22       37       26       39  
 State and local governments                                    
     Total temporarily impaired securities   $ 28,478       537       12,097       589       40,575       1,126

Book values and approximate fair values of investment securities by contractual maturity

 

    Securities Available for Sale     Securities Held to Maturity  
    Amortized     Fair     Amortized     Fair  
($ in thousands)   Cost     Value     Cost     Value  
                         
Debt securities                                
Due within one year   $ 3,004       3,040       350       358  
Due after one year but within five years     26,497       26,679       2,958       3,210  
Due after five years but within ten years     3,000       3,000       29,731       32,673  
Due after ten years     10,189       10,046       23,143       25,435  
Mortgage-backed securities     115,674       119,536              
Total debt securities     158,364       162,301       56,182       61,676  
                                 
Equity securities     9,195       9,606              
Total securities   $ 167,559       171,907       56,182       61,676