XML 32 R22.htm IDEA: XBRL DOCUMENT v3.5.0.2
FAIR VALUE MEASUREMENTS (Tables)
6 Months Ended
Jun. 30, 2016
Fair Value Disclosures [Abstract]  
Schedule of assets measured at fair value on a recurring basis

Disclosures concerning assets measured at fair value are as follows:

 

Assets Measured at Fair Value on a Recurring Basis

 

   Quoted Prices   Significant         
   in Active   Other   Significant     
   Markets for Identical   Observable   Unobservable     
(Dollars in thousands)  Assets   Inputs   Inputs   Balance at 
   (Level 1)   (Level 2)   (Level 3)   Date Indicated 
Investment Securities, Available for Sale – June 30, 2016                
U.S. Treasury notes and bonds  $   $2,120   $   $2,120 
U.S. Government and federal agency       66,315        66,315 
State and municipal       76,756    10,100    86,856 
Mortgage-backed       7,804        7,804 
Corporate       7,578    399    7,977 
Foreign debt       1,002        1,002 
Equity securities   1,378        1,500    2,878 
Asset backed securities       220        220 
     Total  $1,378   $161,795   $11,999   $175,172 
                     
Investment Securities, Available for Sale - December 31, 2015                    
U.S. Treasury notes and bonds  $   $6,100   $   $6,100 
U.S. Government and federal agency       57,207        57,207 
State and municipal       67,852    9,902    77,754 
Mortgage-backed       6,970        6,970 
Corporate       7,990    397    8,387 
Foreign debt       995        995 
Equity securities   953        1,500    2,453 
Asset backed securities       270        270 
     Total  $953   $147,384   $11,799   $160,136 
Schedule of changes in Level 3 assets measured at fair value on a recurring basis

Changes in Level 3 Assets Measured at Fair Value on a Recurring Basis

 

(Dollars in thousands)        
   2016   2015 
Investment Securities, Available for Sale          
Balance, January 1  $11,799   $11,642 
Total realized and unrealized gains included in income        
Total unrealized (gains) losses included in other comprehensive income   (187)   772 
Net purchases, sales, calls, and maturities   387    (368)
Net transfers into Level 3        
Balance, June 30  $11,999   $12,046 
Schedule of assets measured at fair value on a nonrecurring basis

Disclosures concerning assets measured at fair value on a non-recurring basis are as follows:

 

Assets Measured at Fair Value on a Non-recurring Basis

 

      Quoted Prices  Significant   
      in Active  Other  Significant  
      Markets for Identical  Observable  Unobservable  
(Dollars in thousands)  Balance at  Assets  Inputs  Inputs  
   Dates Indicated  (Level 1)  (Level 2)  (Level 3)  
Impaired Loans                    
June 30, 2016  $6,033   $   $   $6,033 
December 31, 2015  $5,585   $   $   $5,585 
                     
Other Real Estate                    
June 30, 2016  $13   $   $   $13 
December 31, 2015  $31   $   $   $31