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Fair Value Disclosures - Estimated Fair Value of Company's Financial Assets and Financial Liabilities (Details) - USD ($)
$ in Thousands
Jun. 30, 2017
Dec. 31, 2016
Jun. 30, 2016
Dec. 31, 2015
Financial assets:        
Cash and cash equivalents, Fair Value $ 117,502 $ 114,514    
Securities - Held to maturity, Fair value 26,366 30,821    
Loans not previously presented, net, Fair Value 2,270,737 2,002,487    
Accrued interest receivable, Fair Value 11,699 12,663    
Cash and cash equivalents, Carrying Amount 117,502 114,514 $ 61,750 $ 105,277
Securities - held to maturity, Carrying Amount 26,036 29,352    
Loans not previously presented, net, Carrying Amount 2,261,912 1,996,822    
FHLB stock, Carrying Amount 14,566 8,430    
Accrued interest receivable, Carrying Amount 11,699 12,663    
Financial liabilities:        
Deposits, Fair Value 2,071,279 2,014,922    
Customer repurchase agreements, Fair Value 14,959 10,490    
Federal Home Loan Bank advances, Fair Value 339,957 230,000    
Subordinated notes, Fair Value 50,768 50,920    
Junior subordinated debentures, Fair Value 33,100 32,905    
Accrued interest payable, Fair Value 2,933 2,682    
Deposits, Carrying Amount 2,072,181 2,015,785    
Customer repurchase agreements, Carrying Amount 14,959 10,490    
Federal Home Loan Bank advances, Carrying Amount 340,000 230,000    
Subordinated notes, Carrying Amount 48,780 48,734    
Junior subordinated debentures, Carrying Amount 32,943 32,740    
Accrued interest payable, Carrying Amount 2,933 2,682    
Level 1        
Financial assets:        
Cash and cash equivalents, Fair Value 117,502 114,514    
Level 2        
Financial assets:        
Securities - Held to maturity, Fair value 17,902 27,498    
Accrued interest receivable, Fair Value 11,699 12,663    
Financial liabilities:        
Deposits, Fair Value 2,071,279 2,014,922    
Customer repurchase agreements, Fair Value 14,959 10,490    
Federal Home Loan Bank advances, Fair Value 339,957 230,000    
Subordinated notes, Fair Value 50,768 50,920    
Junior subordinated debentures, Fair Value 33,100 32,905    
Accrued interest payable, Fair Value 2,933 2,682    
Level 3        
Financial assets:        
Securities - Held to maturity, Fair value 8,464 3,323    
Loans not previously presented, net, Fair Value $ 2,270,737 $ 2,002,487