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Fair Value (Tables)
6 Months Ended
Jun. 30, 2016
Fair Value [Abstract]  
Financial instruments that were measured at fair value on a recurring and nonrecurring basis

($ in thousands)            
Description of Financial Instruments   Fair Value at 
June 30, 2016
    Quoted Prices in 
Active Markets for 
Identical Assets
(Level 1)
    Significant Other 
Observable Inputs 
(Level 2)
    Significant
Unobservable Inputs 
(Level 3)
 
Recurring                                
     Securities available for sale:                                
        Government-sponsored enterprise securities   $ 15,992             15,992        
        Mortgage-backed securities     169,256             169,256        
        Corporate bonds     34,381             34,381        
        Equity securities     133             133        
          Total available for sale securities   $ 219,762             219,762        
                                 
Nonrecurring                                
     Impaired loans – covered   $ 2,063                   2,063  
     Impaired loans – non-covered     15,920                   15,920  
     Foreclosed real estate – covered     385                   385  
     Foreclosed real estate – non-covered     10,221                   10,221  
                                 

  

($ in thousands)            
Description of Financial Instruments   Fair Value at 
December 31, 
2015
    Quoted Prices in 
Active Markets 
for Identical
Assets (Level 1)
    Significant Other 
Observable Inputs
(Level 2)
    Significant 
Unobservable 
Inputs 
(Level 3)
 
Recurring                                
Securities available for sale:                                    
Government-sponsored enterprise securities   $ 18,972             18,972        
Mortgage-backed securities     121,553             121,553        
Corporate bonds     24,946             24,946        
Equity securities     143             143        
Total available for sale securities   $ 165,614             165,614        
                                 
Nonrecurring                                
     Impaired loans – covered   $ 2,588                   2,588  
     Impaired loans – non-covered     18,057                   18,057  
     Foreclosed real estate – covered     806                   806  
     Foreclosed real estate – non-covered     9,188                   9,188  
Level 3 assets and liabilities measured at fair value on a recurring or non-recurring basis

($ in thousands)          
Description   Fair Value at
June 30, 2016
    Valuation 
Technique
  Significant Unobservable 
Inputs
  General Range 
of Significant 
Unobservable 
Input Values
Impaired loans – covered   $ 2,063     Appraised value; PV of expected cash flows   Discounts to reflect current market conditions, ultimate collectability, and estimated costs to sell   0-10%
Impaired loans – non-covered     15,920     Appraised value; PV of expected cash flows   Discounts to reflect current market conditions, ultimate collectability, and estimated costs to sell   0-10%
Foreclosed real estate – covered     385     Appraised value; List or contract price   Discounts to reflect current market conditions and estimated costs to sell   0-10%
Foreclosed real estate – non-covered     10,221     Appraised value; List or contract price   Discounts to reflect current market conditions, abbreviated holding period and estimated costs to sell   0-10%
                     

  

($ in thousands)          
Description   Fair Value at 
December 31, 2015
    Valuation 
Technique
  Significant Unobservable
Inputs
  General Range
of Significant 
Unobservable 
Input Values
Impaired loans – covered   $ 2,588     Appraised value; PV of expected cash flows   Discounts to reflect current market conditions, ultimate collectability, and estimated costs to sell   0-10%
Impaired loans – non-covered     18,057     Appraised value; PV of expected cash flows   Discounts to reflect current market conditions, ultimate collectability, and estimated costs to sell   0-10%
Foreclosed real estate – covered     806     Appraised value; List or contract price   Discounts to reflect current market conditions and estimated costs to sell   0-10%
Foreclosed real estate – non-covered     9,188     Appraised value; List or contract price   Discounts to reflect current market conditions, abbreviated holding period and estimated costs to sell   0-10%
                     
Schedule of the carrying amounts and estimated fair values of financial instruments

        June 30, 2016     December 31, 2015  

 

($ in thousands)

  Level in Fair 
Value 
Hierarchy
  Carrying
Amount
    Estimated
Fair Value
    Carrying
Amount
    Estimated
Fair Value
 
                             
Cash and due from banks, noninterest-bearing   Level 1   $ 58,956       58,956       53,285       53,285  
Due from banks, interest-bearing   Level 1     189,404       189,404       213,426       213,426  
Federal funds sold   Level 1     143       143       557       557  
Securities available for sale   Level 2     219,762       219,762       165,614       165,614  
Securities held to maturity   Level 2     142,073       146,099       154,610       157,146  
Presold mortgages in process of settlement   Level 1     4,104       4,104       4,323       4,323  
Total loans, net of allowance   Level 3     2,572,111       2,548,380       2,490,343       2,484,059  
Accrued interest receivable   Level 1     9,152       9,152       9,166       9,166  
FDIC indemnification asset   Level 3     5,157       5,109       8,439       8,256  
Bank-owned life insurance   Level 1     73,098       73,098       72,086       72,086  
                                     
Deposits   Level 2     2,872,020       2,871,399       2,811,285       2,809,828  
Borrowings   Level 2     206,394       198,531       186,394       178,468  
Accrued interest payable   Level 2     586       586       585       585