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Fair Value of Financial Instruments (Tables)
9 Months Ended
Sep. 30, 2015
Fair Value of Financial Instruments [Abstract]  
Summary of the Fair Value of Financial Instruments
  September 30, 2015   December 31, 2014
  Carrying     Carrying    
(In thousands)   Amount   Fair Value   Amount   Fair Value 
Balance sheet assets:              
       Cash and cash equivalents   $ 226,082   $ 226,082   $ 294,335   $ 294,335
       Investment securities     363,153   363,153   356,141   356,141
       Loans, net   658,960   660,647   657,452   663,247
       Accrued interest receivable     5,361   5,361   6,521   6,521
              Total     $ 1,253,556   $ 1,255,243   $ 1,314,449   $ 1,320,244
Balance sheet liabilities:      
   
       Deposits   $ 577,472   $ 577,472   $ 618,199   $ 618,199
       Accounts and drafts payable     625,230   625,230   655,428   655,428
       Accrued interest payable     53   53   57   57
              Total     $ 1,202,755   $ 1,202,755   $ 1,273,684   $ 1,273,684