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Disclosures about Fair Value of Financial Instruments (Details 1) (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2009
Cash and cash equivalents, Carrying Amount $ 141,088 $ 235,962 $ 138,929 $ 79,294
Investment securities, Carrying Amount 341,935 310,612    
Loans, net, Carrying Amount 675,376 658,611    
Accrued interest receivable, Carrying Amount 6,276 6,125    
Assets, Carrying Amount 1,164,675 1,211,310    
Cash and cash equivalents, Fair Value 141,088 235,962    
Investment securities, Fair Value 341,935 310,612    
Loans, net, Fair Value 676,675 665,348    
Accrued interest receivable, Fair Value 6,276 6,125    
Assets, Fair Value 1,165,974 1,218,047    
Deposits, Carrying Amount 563,708 548,368    
Accounts and drafts payable, Carrying Amount 522,761 595,201    
Accrued interest payable, Carrying Amount 112 159    
Liabilities, Carrying Amount 1,086,581 1,143,728    
Deposits, Fair Value 564,189 548,985    
Accounts and drafts payable, Fair Value 522,761 595,201    
Accrued interest payable, Fair Value 112 159    
Liabilities, Fair Value $ 1,087,062 $ 1,144,345