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FAIR VALUES OF FINANCIAL INSTRUMENTS: (Details 3) (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Loans identified as impaired by class of loans    
Carrying Value $ 33,773 $ 32,650
Allowance for Loan Losses Allocated 7,609 4,273
Fair value 25,948 28,377
First Liens
   
Loans identified as impaired by class of loans    
Carrying Value 1,254 1,963
Allowance for Loan Losses Allocated 126 190
Fair value 1,128 1,773
Home Equity
   
Loans identified as impaired by class of loans    
Carrying Value 179  
Fair value 179  
Junior Liens
   
Loans identified as impaired by class of loans    
Carrying Value   879
Allowance for Loan Losses Allocated   347
Fair value   532
Commercial & Industrial
   
Loans identified as impaired by class of loans    
Carrying Value 17,098 17,890
Allowance for Loan Losses Allocated 3,153 2,664
Fair value 13,945 15,226
Farmland
   
Loans identified as impaired by class of loans    
Carrying Value 891 891
Allowance for Loan Losses Allocated 191 49
Fair value 700 842
Non Farm, Non Residential
   
Loans identified as impaired by class of loans    
Carrying Value 7,386 9,260
Allowance for Loan Losses Allocated 293 957
Fair value 7,093 8,303
All Other Commercial
   
Loans identified as impaired by class of loans    
Carrying Value 1,209 1,517
Allowance for Loan Losses Allocated 52 66
Fair value 1,157 1,451
Multifamily
   
Loans identified as impaired by class of loans    
Carrying Value 5,540 250
Allowance for Loan Losses Allocated 3,794  
Fair value $ 1,746 $ 250