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Securities Available For Sale (Tables)
3 Months Ended
Mar. 31, 2015
Securities Available For Sale [Abstract]  
Summary Of Securities Available For Sale
March 31, 2015       Gross   Gross   Estimated
    Amortized   Unrealized   Unrealized   Fair
Available for Sale:   Cost   Gains   Losses   Value
 
Mortgage-backed securities:                
US Government-sponsored                
enterprises $ 299,088 $ 9,373 $ 833 $ 307,628
US Government agency   80,762   1,969   270   82,461
Private label   3,544   780   16   4,308
Obligations of states and political                
subdivisions thereof   87,089   3,710   294   90,505
Total $ 470,483 $ 15,832 $ 1,413 $ 484,902

 

December 31, 2014       Gross   Gross   Estimated
    Amortized   Unrealized   Unrealized   Fair
Available for Sale:   Cost   Gains   Losses   Value
 
Mortgage-backed securities:                
US Government-sponsored                
enterprises $ 282,217 $ 7,530 $ 1,537 $ 288,210
US Government agency   82,249   1,626   529   83,346
Private label   3,723   815   14   4,524
Obligations of states and political                
subdivisions thereof   90,181   4,516   252   94,445
Total $ 458,370 $ 14,487 $ 2,332 $ 470,525

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 $ 3 $ 3
Due after five years through ten years   5,103   5,213
Due after five years through ten years   13,075   13,935
Due after ten years   452,302   465,751
Total $ 470,483 $ 484,902
Schedule Of OTTI Related To Historical Estimated Credit Losses On Debt Securities And Changes In Estimated Credit Losses Recognized In Pre-Tax Earnings
  2015   2014
 
Estimated credit losses as of prior year-end, $ 3,413 $ 3,923
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
Estimated credit losses as of March 31, $ 3,413 $ 3,413
Schedule Of Fair Value Of Securities With Continuous Unrealized Losses
  Less than 12 months     12 months or longer     Total    
    Estimated         Estimated         Estimated      
March 31, 2015   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 $ 35,592 49 $ 291 $ 22,574 27 $ 542 $ 58,166 76 $ 833
US Government agency   5,628 16   49   16,202 21   221   21,830 37   270
 
Private label   65 3   9   143 4   7   208 7   16
Obligations of states and                              
political subdivisions                              
thereof   13,093 22   124   4,290 14   170   17,383 36   294
Total $ 54,378 90 $ 473 $ 43,209 66 $ 940 $ 97,587 156 $ 1,413

 

    Less than 12 months   12 months or longer     Total    
    Estimated         Estimated         Estimated      
December 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 $ 45,899 53 $ 1,168 $ 35,511 45 $ 369 $ 81,410 98 $ 1,537
US Government agency   19,404 24   483   3,657 21   46   23,061 45   529
Private label   336 4   7   145 4   7   481 8   14
Obligations of states and                              
political subdivisions                              
thereof   12,549 28   240   2,724 5   12   15,273 33   252
Total $ 78,188 109 $ 1,898 $ 42,037 75 $ 434 $ 120,225 184 $ 2,332
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 March 31,                
2015 $ 8,941 $ 619 $ --- $ --- $ 619
2014 $ 10,313 $ 397 $ --- $ --- $ 397