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FAIR VALUE MEASUREMENTS (Tables)
9 Months Ended
Sep. 30, 2016
Fair Value Disclosures [Abstract]  
Schedule of financial assets and financial liabilities measured at fair value on a recurring basis
Level 1  Level 2  Level 3  Total Fair
(Dollars in Thousands)InputsInputsInputsValue
September 30, 2016
Securities Available for Sale:
U.S. Government Treasury$273,685$-$-$273,685
U.S. Government Agency-129,516-129,516
States and Political Subdivisions-86,634-86,634
Mortgage-Backed Securities-1,482-1,482
Equity Securities -8,822-8,822
December 31, 2015
Securities Available for Sale:
U.S. Government Treasury$250,346$-$-$250,346
U.S. Government Agency-101,824-101,824
States and Political Subdivisions-88,362-88,362
Mortgage-Backed Securities-1,901-1,901
Equity Securities -8,595-8,595
Schedule of financial instruments with estimated fair values
  September 30, 2016
CarryingLevel 1Level 2Level 3
(Dollars in Thousands)ValueInputsInputsInputs
ASSETS:
Cash$79,608$79,608$-$-
Short-Term Investments144,576144,576--
Investment Securities, Available for Sale500,139273,685226,454-
Investment Securities, Held to Maturity189,928129,85360,976-
Loans Held for Sale10,510-10,510-
Loans, Net of Allowance for Loan Losses1,543,768--1,547,466
LIABILITIES:
Deposits$2,315,107$-$2,311,870$-
Short-Term Borrowings12,113-12,142-
Subordinated Notes Payable52,887-42,622-
Long-Term Borrowings21,368-21,974-

  December 31, 2015
CarryingLevel 1Level 2Level 3
(Dollars in Thousands)ValueInputsInputsInputs
ASSETS:
Cash$51,288$51,288$-$-
Short-Term Investments327,617327,617--
Investment Securities, Available for Sale451,028250,346200,682-
Investment Securities, Held to Maturity187,892134,43952,968-
Loans Held for Sale11,632-11,632-
Loans, Net of Allowance for Loan Losses1,478,322--1,483,926
LIABILITIES:
Deposits$2,302,849$-$2,228,210$-
Short-Term Borrowings61,058-64,947-
Subordinated Notes Payable62,887-49,230-
Long-Term Borrowings28,265-30,448-