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Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2016
Fair Value Disclosures [Abstract]  
Schedule of assets measured at fair value on a recurring basis

There were no liabilities measured at fair value as of December 31, 2015 or December 31, 2016. Disclosures concerning assets measured at fair value are as follows:

 

Assets Measured at Fair Value on a Recurring Basis

 

    Quoted Prices                
    In Active   Significant            
    Markets for   Other   Significant        
    Identical   Observable   Unobservable        
(Dollars in thousands)   Assets   Inputs   Inputs   Balance at  
    (Level 1)   (Level 2)   (Level 3)   Date Indicated  
Investment Securities, Available for Sale - December 31, 2016                                
U. S. Government and federal agency   $     $ 59,052     $     $ 59,052  
U. S. Treasury notes and bonds           4,072             4,072  
State and municipal           75,370       13,603       88,973  
Mortgage-backed           7,789             7,789  
Corporate           7,041             7,041  
Foreign debt           4,400             4,400  
Equity securities     1,383             1,500       2,883  
Asset backed securities           178             178  
Total   $ 1,383     $ 157,902     $ 15,103     $ 174,388  
                                 
Investment Securities, Available for Sale - December 31, 2015                                
U. S. Government and federal agency   $     $ 57,207     $     $ 57,207  
U. S. Treasury notes and bonds           6,100             6,100  
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     (307 )     806  
Net purchases, sales, calls, and maturities     3,611       (649 )
Net transfers into Level 3            
Balance, December 31   $ 15,103     $ 11,799  
Schedule of assets measured at fair value on a nonrecurring basis

Assets Measured at Fair Value on a Non-recurring Basis

 

        Quoted Prices            
        In Active   Significant        
        Markets for   Other   Significant  
    Balances at   Identical   Observable   Unobservable  
(Dollars in thousands)   Dates   Assets   Inputs   Inputs  
    Indicated   (Level 1)   (Level 2)   (Level 3)  
Impaired Loans                                
December 31, 2016   $ 4,911     $     $     $ 4,911  
December 31, 2015   $ 5,585     $     $     $ 5,585  
                                 
Other Real Estate                                
December 31, 2016   $ 437     $     $     $ 437  
December 31, 2015   $ 31     $     $     $ 31