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Fair Value of Assets and Liabilities - Fair Value of Financial Instruments (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2017
Dec. 31, 2016
Nov. 29, 2013
Financial assets:      
Investment securities held-to-maturity $ 151,032 $ 45,097  
Subordinated debenture      
Financial liabilities:      
Subordinated debentures     $ 4,950
Subordinated debenture | NorCal Community Bancorp Trust I      
Financial liabilities:      
Basis spread on subordinated debenture 3.05%    
Subordinated debenture | NorCal Community Bancorp Trust II      
Financial liabilities:      
Basis spread on subordinated debenture 1.40%    
Fair Value Hierarcy (Level 1) | Carrying Value      
Financial assets:      
Cash and cash equivalents $ 203,545 48,804  
Fair Value Hierarcy (Level 1) | Fair Value      
Financial assets:      
Cash and cash equivalents 203,545 48,804  
Fair Value Hierarchy (Level 2) | Carrying Value      
Financial assets:      
Investment securities held-to-maturity 151,032 44,438  
Interest receivable 7,501 6,319  
Financial liabilities:      
Deposits 2,148,670 1,772,700  
Interest payable 191 134  
Fair Value Hierarchy (Level 2) | Fair Value      
Financial assets:      
Investment securities held-to-maturity 151,032 45,097  
Interest receivable 7,501 6,319  
Financial liabilities:      
Deposits 2,148,050 1,773,102  
Interest payable 191 134  
Fair Value Hierarchy (Level 3) | Carrying Value      
Financial assets:      
Loans, net 1,663,246 1,471,174  
Financial liabilities:      
Subordinated debentures 5,739 5,586  
Fair Value Hierarchy (Level 3) | Fair Value      
Financial assets:      
Loans, net 1,650,198 1,473,360  
Financial liabilities:      
Subordinated debentures $ 5,118 $ 5,083