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Securities Available For Sale (Tables)
9 Months Ended
Sep. 30, 2014
Securities Available For Sale [Abstract]  
Summary Of Securities Available For Sale

September 30, 2014 Gross Gross Estimated
Amortized Unrealized Unrealized Fair
Available for Sale: Cost Gains Losses Value
Mortgage-backed securities:
US Government-sponsored
enterprises $ 280,238 $ 5,578 $ 3,807 $ 282,009
US Government agency 84,628 1,252 982 84,898
Private label 3,943 832 5 4,770
Obligations of states and political
subdivisions thereof 92,023 3,717 483 95,257
Total $ 460,832 $ 11,379 $ 5,277 $ 466,934

December 31, 2013 Gross Gross Estimated
Amortized Unrealized Unrealized Fair
Available for Sale: Cost Gains Losses 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 after one year through five years $ 5,276 $ 5,355
Due after five years through ten years 14,170 14,648
Due after ten years 441,386 446,931
Total $ 460,832 $ 466,934
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 June 30, $ 3,413 $ 3,790
Additions for credit losses for securities on which
OTTI has been previously recognized - -- 73
Additions for credit losses for securities on which
OTTI has not been previously recognized - -- - --
Reductions for securities paid off during the period - -- - --
Estimated credit losses as of September 30, $ 3,413 $ 3,863

2014 2013
Estimated credit losses as of prior year-end, $ 3,923 $ 4,366
Additions for credit losses for securities on which
OTTI has been previously recognized - -- 188
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 September 30, $ 3,413 $ 3,863
Schedule Of Fair Value Of Securities With Continuous Unrealized Losses

Less than 12 months 12 months or longer Total
Estimated Estimated Estimated
September 30, 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 $ 41,276 47 $ 811 $ 64,852 74 $ 2,996 $ 106,128 121 $ 3,807
US Government agency 23,356 37 256 19,316 23 726 42,672 60 982
Private label 3 1 --- 152 4 5 155 5 5
Obligations of states and
political subdivisions
thereof 1,927 4 11 23,142 50 472 25,069 54 483
Total $ 66,562 89 $ 1,078 $ 107,462 151 $ 4,199 $ 174,024 240 $ 5,277

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 Other
from Sale of Than
Securities Temporary
Available Realized Realized Impairment
for Sale Gains Losses Losses Net
Three months ended September 30,
2014 $ 4,342 $ 27 $ 108 $ --- $ (81 )
2013 $ 3,088 $ 138 $ --- $ 73 $ 65
Nine months ended September 30,
2014 $ 26,563 $ 809 $ 143 $ --- $ 666
2013 $ 12,717 $ 667 $ 8 $ 188 $ 471