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Fair Value Measurements (Tables)
9 Months Ended
Sep. 30, 2015
Fair Value Measurements [Abstract]  
Financial Assets And Financial Liabilities Measured At Fair Value On A Recurring Basis
  Level 1   Level 2 Level 3   Total Fair
September 30, 2015 Inputs   Inputs Inputs   Value
Securities available for sale:            
Mortgage-backed securities:            
US Government-sponsored enterprises $ --- $ 302,566 $ --- $ 302,566
US Government agencies $ --- $ 83,677 $ --- $ 83,677
Private label $ --- $ 3,742 $ --- $ 3,742
Obligations of states and political subdivisions thereof $ --- $ 112,695 $ --- $ 112,695
Derivative assets $ --- $ 2,251 $ --- $ 2,251

 

  Level 1   Level 2 Level 3   Total Fair
December 31, 2014 Inputs   Inputs Inputs   Value
Securities available for sale:            
Mortgage-backed securities:            
US Government-sponsored enterprises $ --- $ 288,210 $ --- $ 288,210
US Government agencies $ --- $ 83,346 $ --- $ 83,346
Private label $ --- $ 4,524 $ --- $ 4,524
Obligations of states and political subdivisions thereof $ --- $ 94,445 $ --- $ 94,445
Derivative assets $ --- $ 3,455 $ --- $ 3,455
Financial Assets And Financial Liabilities Measured At Fair Value On A Non-Recurring Basis
            Fair    
            Value    
  Level 1 Level 2   Level 3   as of    
For the Nine Months Ended 9/30/15 Inputs Inputs   Inputs   9/30/15   Loss
 
Other real estate owned $ -- $ -- $ 818 $ 818 $ 20
Collateral dependent impaired loans $ -- $ -- $ 2,022 $ 2,022 $ ---

 

            Fair    
            Value    
  Level 1 Level 2   Level 3   as of    
For the Twelve Months Ended 12/31/14 Inputs Inputs   Inputs   12/31/14   Loss
 
Other real estate owned $ -- $ -- $ 523 $ 523 $ 397
Collateral dependent impaired loans $ -- $ -- $ 1,986 $ 1,986 $ ---