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Loans and Asset Quality Information (Schedule of Activity in Allowance for Loan Losses for Covered Loans) (Details) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended 12 Months Ended
Sep. 30, 2015
Sep. 30, 2014
Sep. 30, 2015
Sep. 30, 2014
Dec. 31, 2014
Provisions $ (1,414) $ 1,485 $ (737) $ 8,719  
Loans receivable:          
Ending balance - total 106,609 133,249 106,609 133,249 $ 127,594
Covered [Member]          
Beginning balance 1,935 3,830 2,281 4,242 4,242
Charge-offs (84) (195) (1,200) (5,865) (6,948)
Recoveries 1,730 463 2,928 3,010 3,616
Transferred to non-covered   (1,737)   (1,737) (1,737)
Provisions (1,681) 206 (2,109) 2,917 3,108
Ending balance 1,900 2,567 1,900 2,567 2,281
Ending balances: Allowance for loan losses          
Individually evaluated for impairment 466 1,537 466 1,537 1,161
Collectively evaluated for impairment 1,391 1,003 1,391 1,003 1,046
Loans receivable:          
Ending balance - total 106,609 133,249 106,609 133,249 127,594
Ending balances: Loans          
Individually evaluated for impairment 5,197 11,258 5,197 11,258 11,484
Collectively evaluated for impairment 99,892 119,953 99,892 119,953 114,160
Covered [Member] | Receivables acquired with deteriorated credit quality [Member]          
Beginning balance     74    
Ending balance 43 27 43 27 74
Ending balances: Loans          
Financing Receivable, Net $ 1,520 $ 2,038 $ 1,520 $ 2,038 $ 1,950