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FAIR VALUE MEASUREMENTS (Tables)
12 Months Ended
Dec. 31, 2014
Fair Value Measurements Tables  
Schedule of financial assets and financial liabilities measured at fair value on a recurring basis

A summary of fair values for assets and liabilities recorded at fair value at December 31 consisted of the following:

 

(Dollars in Thousands)   Level 1
Inputs
    Level 2
Inputs
    Level 3
Inputs
    Total Fair
Value
 
2014                                
Securities Available for Sale:                                
   U.S. Government Treasury   $ 186,031     $     $     $ 186,031  
   U.S. Government Agency           96,097             96,097  
   States and Political Subdivisions           48,388             48,388  
   Mortgage-Backed Securities           2,287             2,287  
   Equity Securities           8,745             8,745  
                                 
2013                                
Securities Available for Sale:                                
   U.S. Government Treasury   $ 71,833     $     $     $ 71,833  
   U.S. Government Agency           75,146             75,146  
   State and Political Subdivisions           91,753             91,753  
   Mortgage-Backed Securities           2,795             2,795  
   Equity Securities           9,893             9,893
Schedule of financial instruments with estimated fair values

A summary of estimated fair values of significant financial instruments at December 31 consisted of the following:

 

    2014  
(Dollars in Thousands)   Carrying
Value
    Level 1
Inputs
    Level 2 Inputs     Level 3 Inputs  
ASSETS:                                
Cash   $ 55,467     $ 55,467     $     $  
Short-Term Investments     329,589       329,589              
Investment Securities, Available for Sale     341,548       186,031       155,517        
Investment Securities, Held to Maturity     163,581       76,317       87,095        
Loans Held for Sale     10,688             10,688          
Loans, Net of Allowance for Loan Losses     1,413,835                   1,369,314  
                                 
LIABILITIES:                                
Deposits   $ 2,146,794     $     $ 2,146,510     $  
Short-Term Borrowings     49,425             48,760        
Subordinated Notes Payable     62,887             62,887        
Long-Term Borrowings     31,097             32,313        

 

    2013  
(Dollars in Thousands)   Carrying
Value
    Level 1
Inputs
    Level 2 Inputs     Level 3 Inputs  
ASSETS:                                
Cash   $ 55,209     $ 55,209     $     $  
Short-Term Investments     474,719       474,719              
Investment Securities, Available for Sale     251,420       71,833       179,587        
Investment Securities, Held to Maturity     148,211       43,579       103,382        
Loans Held for Sale     11,065             11,065          
Loans, Net of Allowance for Loan Losses     1,365,509                     1,265,827  
                                 
LIABILITIES:                                
Deposits   $ 2,136,248     $     $ 2,136,737     $  
Short-Term Borrowings     51,321             50,754        
Subordinated Notes Payable     62,887             62,886        
Long-Term Borrowings     38,043             39,450