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Disclosures about Fair Value of Financial Instruments (Tables)
12 Months Ended
Dec. 31, 2015
Disclosures about Fair Value of Financial Instruments [Abstract]  
Schedule of Commitments to Extend Credit, Standby Letters of Credit and Commercial Letters
  December 31,
(In thousands)   2015   2014
Conditional commitments to extend credit   $ 11,755   $ 19,066
Standby letters of credit   11,581   12,693
Commercial letters of credit     1,857   2,571
Schedule of Company's Financial Instruments
  December 31,
  2015   2014
  Carrying       Carrying  
(In thousands)   Amount   Fair Value   Amount   Fair Value
Balance sheet assets:                
       Cash and cash equivalents   $ 253,172   $ 253,172   $ 294,335   $ 294,335
       Investment in securities     375,696   375,696   356,141   356,141
       Loans, net   647,420   649,161   657,452   663,247
       Accrued interest receivable     6,647   6,647   6,521   6,521
              Total     $ 1,282,935   $ 1,284,676   $ 1,314,449   $ 1,320,244
         
Balance sheet liabilities:          
       Deposits   $ 646,484   $ 646,892   $ 618,199   $ 618,199
       Accounts and drafts payable     577,259   577,259   655,428   655,428
       Accrued interest payable     35   35   57   57
              Total     $ 1,223,778   $ 1,224,186   $ 1,273,684   $ 1,273,684