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Fair Value Measurements (Details 2) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2018
Dec. 31, 2017
Assets - Beginning balance $ 1,761 $ 1,832
Realized gain (loss) included in earnings - net mortgage banking derivatives 186 (71)
Reclass from level 2 8,076  
Assets - Ending balance 10,023 1,761
Liabilities - Beginning balance 10 55
Realized gain (loss) included in earnings - net mortgage banking derivatives 259 (45)
Liabilities - Ending balance 259 10
Investment Securities [Member]    
Assets - Beginning balance 1,718 1,718
Reclass from level 2 8,076  
Assets - Ending balance 9,794 1,718
Mortgage Banking Derivatives [Member]    
Assets - Beginning balance 43 114
Realized gain (loss) included in earnings - net mortgage banking derivatives 186 (71)
Assets - Ending balance 229 43
Liabilities - Beginning balance 10 55
Realized gain (loss) included in earnings - net mortgage banking derivatives 259 (45)
Liabilities - Ending balance $ 259 $ 10