XML 81 R41.htm IDEA: XBRL DOCUMENT v3.2.0.727
Securities (Schedule of Book Values and Fair Values of Investment Securities by Contractual Maturity) (Details) - USD ($)
$ in Thousands
Jun. 30, 2015
Dec. 31, 2014
Jun. 30, 2014
Securities Available for Sale - Amortized Cost      
Due within one year      
Due after one year but within five years $ 50,291    
Due after five years but within ten years 28,231    
Due after ten years 5,000    
Mortgage-backed securities 132,272    
Total debt securities 215,794    
Equity securities 89    
Total securities $ 215,883 $ 158,708  
Securities Available for Sale - Fair Value      
Due within one year      
Due after one year but within five years $ 50,276    
Due after five years but within ten years 27,773    
Due after ten years 4,960    
Mortgage-backed securities 131,309    
Total debt securities 214,318    
Equity securities 132    
Total securities 214,450 158,018 $ 118,062
Securities Held to Maturity - Amortized Cost      
Due within one year 773    
Due after one year but within five years 12,755    
Due after five years but within ten years 36,098    
Due after ten years 2,696    
Mortgage-backed securities 112,923    
Total debt securities 165,245 178,687 53,879
Total securities 165,245    
Securities Held to Maturity - Fair Value      
Due within one year 787    
Due after one year but within five years 13,502    
Due after five years but within ten years 38,458    
Due after ten years 2,777    
Mortgage-backed securities 112,235    
Total debt securities 167,759    
Securities held to maturity $ 167,759 $ 182,411 $ 57,612