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Loans and Asset Quality Information (Schedule of Activity in Allowance for Loan Losses for Loans) (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2018
Dec. 31, 2017
Dec. 31, 2016
Beginning balance $ 23,298 $ 23,781 $ 28,583
Charge-offs (6,971) (7,811) (10,414)
Recoveries 8,301 6,605 6,685
Transfer from covered status
Removed due to branch loan sale (1,050)
Provisions (3,589) 723 (23)
Ending balance 21,039 23,298 23,781
Ending balances: Allowance for loan losses      
Individually evaluated for impairment 2,269 1,564 1,640
Collectively evaluated for impairment 18,642 21,461 22,141
Purchased credit impaired 128 273
Loans receivable:      
Ending balance - total 4,247,765 4,043,355 2,710,761
Unamortized net deferred loan fees 1,299 (986) (49)
Total non-covered loans 4,249,064 4,042,369 2,710,712
Ending balances: Loans      
Individually evaluated for impairment 24,253 27,215 32,226
Collectively evaluated for impairment 4,206,119 3,992,975 2,678,021
Loans acquired with deteriorated credit quality 17,393 23,165 514
Covered [Member]      
Beginning balance   1,799
Charge-offs     (244)
Recoveries     1,958
Transfer from covered status     (1,381)
Removed due to branch loan sale    
Provisions     (2,132)
Ending balance    
Ending balances: Allowance for loan losses      
Collectively evaluated for impairment    
Purchased credit impaired    
Loans receivable:      
Ending balance - total    
Ending balances: Loans      
Individually evaluated for impairment    
Collectively evaluated for impairment    
Loans acquired with deteriorated credit quality    
Commercial, financial, and agricultural [Member]      
Beginning balance 3,111 3,829 4,742
Charge-offs (2,128) (1,622) (2,271)
Recoveries 1,195 1,311 805
Transfer from covered status 56
Removed due to branch loan sale (263)
Provisions 711 (407) 760
Ending balance 2,889 3,111 3,829
Ending balances: Allowance for loan losses      
Individually evaluated for impairment 226 215 7
Collectively evaluated for impairment 2,661 2,896 3,822
Purchased credit impaired 2
Loans receivable:      
Ending balance - total 457,037 381,130 261,813
Ending balances: Loans      
Individually evaluated for impairment 696 579 644
Collectively evaluated for impairment 456,111 379,903 261,169
Loans acquired with deteriorated credit quality 230 648
Real estate - construction, land development & other land loans [Member]      
Beginning balance 2,816 2,691 3,754
Charge-offs (158) (589) (1,101)
Recoveries 4,097 2,579 1,422
Transfer from covered status 65
Removed due to branch loan sale (39)
Provisions (4,512) (1,865) (1,410)
Ending balance 2,243 2,816 2,691
Ending balances: Allowance for loan losses      
Individually evaluated for impairment 134 18 184
Collectively evaluated for impairment 2,109 2,798 2,507
Purchased credit impaired
Loans receivable:      
Ending balance - total 518,976 539,020 354,667
Ending balances: Loans      
Individually evaluated for impairment 1,345 2,975 4,001
Collectively evaluated for impairment 517,453 535,638 350,666
Loans acquired with deteriorated credit quality 178 407
Real estate residential, farmland and mutli-family [Member]      
Beginning balance 6,147 7,704 7,832
Charge-offs (1,734) (2,641) (3,815)
Recoveries 833 1,076 1,060
Transfer from covered status 839
Removed due to branch loan sale (347)
Provisions (49) 8 2,135
Ending balance 5,197 6,147 7,704
Ending balances: Allowance for loan losses      
Individually evaluated for impairment 955 1,099 1,339
Collectively evaluated for impairment 4,143 4,831 6,365
Purchased credit impaired 99 217
Loans receivable:      
Ending balance - total 1,054,176 972,772 750,679
Ending balances: Loans      
Individually evaluated for impairment 12,391 14,800 20,807
Collectively evaluated for impairment 1,035,532 949,113 729,872
Loans acquired with deteriorated credit quality 6,253 8,859
Real estate home equity lines of credit [Member]      
Beginning balance 1,827 2,420 2,893
Charge-offs (711) (978) (969)
Recoveries 364 333 250
Transfer from covered status 293
Removed due to branch loan sale (110)
Provisions 185 52 63
Ending balance 1,665 1,827 2,420
Ending balances: Allowance for loan losses      
Individually evaluated for impairment 48 5
Collectively evaluated for impairment 1,608 1,788 2,415
Purchased credit impaired 9 39
Loans receivable:      
Ending balance - total 359,162 379,978 239,105
Ending balances: Loans      
Individually evaluated for impairment 296 368 280
Collectively evaluated for impairment 358,522 379,327 238,825
Loans acquired with deteriorated credit quality 344 283
Real estate - mortgage - commercial and other [Member]      
Beginning balance 6,475 5,098 5,816
Charge-offs (1,459) (1,182) (1,005)
Recoveries 1,503 1,027 836
Transfer from covered status 127
Removed due to branch loan sale (228)
Provisions 1,464 1,532 (448)
Ending balance 7,983 6,475 5,098
Ending balances: Allowance for loan losses      
Individually evaluated for impairment 906 232 105
Collectively evaluated for impairment 7,070 6,226 4,993
Purchased credit impaired 7 17
Loans receivable:      
Ending balance - total 1,787,022 1,696,107 1,049,460
Ending balances: Loans      
Individually evaluated for impairment 9,525 8,493 6,494
Collectively evaluated for impairment 1,767,361 1,675,102 1,042,452
Loans acquired with deteriorated credit quality 10,136 12,512 514
Non-covered loans to Individual      
Beginning balance 950 1,145 1,051
Charge-offs (781) (799) (1,008)
Recoveries 309 279 354
Transfer from covered status
Removed due to branch loan sale (63)
Provisions 474 325 811
Ending balance 952 950 1,145
Ending balances: Allowance for loan losses      
Individually evaluated for impairment
Collectively evaluated for impairment 941 950 1,145
Purchased credit impaired 11
Loans receivable:      
Ending balance - total 71,392 74,348 55,037
Ending balances: Loans      
Individually evaluated for impairment
Collectively evaluated for impairment 71,140 73,892 55,037
Loans acquired with deteriorated credit quality 252 456
Unallocated [Member]      
Beginning balance 1,972 894 696
Charge-offs (1)
Recoveries
Transfer from covered status 1
Removed due to branch loan sale
Provisions (1,862) 1,078 198
Ending balance 110 1,972 894
Ending balances: Allowance for loan losses      
Individually evaluated for impairment
Collectively evaluated for impairment 110 1,972 894
Purchased credit impaired
Loans receivable:      
Ending balance - total
Ending balances: Loans      
Individually evaluated for impairment
Collectively evaluated for impairment
Loans acquired with deteriorated credit quality