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Securities Available For Sale (Tables)
3 Months Ended
Mar. 31, 2014
Securities Available For Sale [Abstract]  
Summary Of Securities Available For Sale
March 31, 2014     Gross Gross    
  Amortized Unrealized Unrealized Estimated
Available for Sale: Cost Gains Losses Fair Value
 
Mortgage-backed securities:                
US Government-sponsored enterprises $ 282,743 $ 4,450 $ 5,672 $ 281,521
US Government agency   83,545   1,064   1,520   83,089
Private label   4,629   891   11   5,509
Obligations of states and political                
subdivisions thereof   96,814   1,799   3,905   94,708
Total $ 467,731 $ 8,204 $ 11,108 $ 464,827

 

December 31, 2013     Gross Gross    
  Amortized Unrealized Unrealized Estimated
Available for Sale: Cost Gains Losses Fair Value
 
Mortgage-backed securities:                
US Government-sponsored enterprises $ 277,838 $ 4,386 $ 8,592 $ 273,632
US Government agency   83,153   833   2,457   81,529
Private label   5,423   825   78   6,170
Obligations of states and political                
subdivisions thereof   95,221   1,121   7,503   88,839
Total $ 461,635 $ 7,165 $ 18,630 $ 450,170

 

Schedule Of Maturities Distribution Of The Amortized Cost And Estimated Fair Value Of Securities Available For Sale
  Amortized Estimated
Securities Available for Sale Cost Fair Value
 
Due one year or less $ -- $ --
Due after one year through five years   3,905   3,999
Due after five years through ten years   19,310   19,943
Due after ten years   444,516   440,885
Total $ 467,731 $ 464,827
Schedule Of OTTI Related To Historical Estimated Credit Losses On Debt Securities And Changes In Estimated Credit Losses Recognized In Pre-Tax Earnings
  2014 2013
 
Estimated credit losses as of prior year-end, $ 3,923 $ 4,365
Additions for credit losses for securities on which        
OTTI has been previously recognized -- --
Additions for credit losses for securities on which    
OTTI has not been previously recognized -- --
Reductions for securities paid off during the period   510 691
Estimated credit losses as of March 31, $ 3,413 $ 3,674
Schedule Of Fair Value Of Securities With Continuous Unrealized Losses

  Less than 12 months 12 months or longer Total
  Estimated       Estimated       Estimated      
March 31, 2014 Fair Number of Unrealized Fair Number of Unrealized Fair Number of Unrealized
  Value Investments Losses Value Investments Losses Value Investments Losses
Description of Securities:                              
 
Mortgage-backed securities:                              
US Government-sponsored                              
enterprises $ 95,348 115 $ 2,544 $ 42,445 45 $ 3,128 $ 137,793 160 $ 5,672
US Government agency   30,921 43   1,035   11,100 13   485   42,021 56   1,520
Private label   444 4   9   45 2   2   489 6   11
Obligations of states and                              
political subdivisions thereof   47,251 105   2,034   15,581 42   1,871   62,832 147   3,905
Total $ 173,964 267 $ 5,622 $ 69,171 102 $ 5,486 $ 243,135 369 $ 11,108

 

  Less than 12 months 12 months or longer Total
  Estimated       Estimated       Estimated      
December 31, 2013 Fair Number of Unrealized Fair Number of Unrealized Fair Number of Unrealized
  Value Investments Losses Value Investments Losses Value Investments Losses
Description of Securities:                              
 
Mortgage-backed securities:                              
US Government-sponsored                              
enterprises $ 111,169 140 $ 4,801 $ 40,563 40 $ 3,791 $ 151,732 180 $ 8,592
US Government agency   36,356 47   1,982   9,156 12   475   45,512 59   2,457
Private label   826 12   61   449 7   17   1,275 19   78
Obligations of states and                              
political subdivisions thereof   61,174 135   5,601   8,464 30   1,902   69,638 165   7,503
Total $ 209,525 334 $ 12,445 $ 58,632 89 $ 6,185 $ 268,157 423 $ 18,630

Schedule Of Realized Gains And Losses And Other-Than-Temporary Impairment Losses On Securities
  Proceeds
from Sale of
Securities
Available
for Sale
Realized
Gains
Realized
Losses
Other
Than
Temporary
Impairment
Losses
Net
Three months ended March 31,                  
2014 $ 10,313 $ 397 $ --- $--- $ 397
2013 $ 5,038 $ 273 $ 8 $--- $ 265