XML 39 R24.htm IDEA: XBRL DOCUMENT v2.4.0.6
FAIR VALUE MEASUREMENTS (Tables)
9 Months Ended
Sep. 30, 2012
Notes to Financial Statements  
Schedule of fair value of financial assets and liabilities measured on a recurring basis
                           
(Dollars in Thousands)   Level 1
Inputs
  Level 2
Inputs
  Level 3
Inputs
  Total Fair
Value
 
September 30, 2012                          
ASSETS:                          
Securities available for sale:                          
U.S. Treasury   $ 108,718   $   $   $ 108,718  
U.S. Government Agency     33,291     8,511         41,802  
States and Political Subdivisions         70,561         70,561  
Mortgage-Backed Securities         56,252         56,252  
Other Securities         10,833         10,833  
LIABILITIES:                          
Fair Value Swap                  
                           
December 31, 2011                          
ASSETS:                          
Securities available for sale:                          
U.S. Treasury   $ 169,464   $   $   $ 169,464  
U.S. Government Agency     14,737             14,737  
States and Political Subdivisions         59,094         59,094  
Mortgage-Backed Securities         52,497         52,497  
Other Securities         11,357         11,357  
LIABILITIES:                          
Fair Value Swap             572     572  
Schedule of tabular disclosure of estimated fair values of significant financial instruments
                           
    September 30, 2012  
(Dollars in Thousands)   Carrying
Value
  Level 1
Inputs
  Level 2
Inputs
  Level 3
Inputs
 
ASSETS:                          
Cash   $ 53,076   $ 53,076   $   $  
Short-Term Investments     314,318     314,318          
Investment Securities     288,166     142,009     146,157      
Loans Held for Sale     16,527         16,527      
Loans, Net of Allowance for Loan Losses     1,486,546             1,357,305  
                           
LIABILITIES:                          
Deposits   $ 2,020,594   $   $ 2,021,069   $  
Short-Term Borrowings     42,388         41,678      
Subordinated Notes Payable     62,887         62,912      
Long-Term Borrowings     38,126         41,406      
                           
                           
                           
                           
                           
                           
                           
                           
                           
                           
                           
    December 31, 2011  
(Dollars in Thousands)     Carrying
Value
    Level 1
Inputs
    Level 2
Inputs
    Level 3
Inputs
 
ASSETS:                          
Cash   $ 54,953   $ 54,953   $   $  
Short-Term Investments     330,361     330,361          
Investment Securities     307,149     184,201     122,948      
Loans Held for Sale     21,225         21,225      
Loans, Net of Allowance for Loan Losses     1,576,423             1,464,588  
                           
LIABILITIES:                          
Deposits   $ 2,172,519   $   $ 2,173,331   $  
Short-Term Borrowings     43,372         42,021      
Subordinated Notes Payable     62,887         62,858      
Long-Term Borrowings     44,606         47,770