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Securities Sold Under Agreement to Repurchase (Tables)
12 Months Ended
Dec. 31, 2012
Deposits, Securities Sold Under Agreement to Repurchase, Federal Home Loan Bank Advances and Minimum Regulatory Capital Requirements [Abstract]  
Daily securities under agreement to repurchase
                                         
    Daily Securities Sold Under Agreement to Repurchase  
    Amount     Weighted     Maximum Amount     Approximate     Approximate  
    Outstanding     Average     Borrowings     Average     Weighted Average  
    at End     Rate End     Outstanding     Outstanding in     Interest Rate  
    of Period (000’s)     of Period     Month End (000’s)     Period (000’s)     For the Period  

2012

  $ 35,173       0.10   $ 41,876     $ 38,725       0.18

2011

  $ 38,209       0.15   $ 42,154     $ 36,910       0.30

2010

  $ 37,191       0.36   $ 37,501     $ 34,046       0.36
   
    Term CD’s Sold Under Agreement to Repurchase  
    Amount     Weighted     Maximum Amount     Approximate     Approximate  
    Outstanding     Average     Borrowings     Average     Weighted Average  
    at End     Rate End     Outstanding     Outstanding in     Interest Rate  
    of Period (000’s)     of Period     Month End (000’s)     Period (000’s)     For the Period  

2012

  $ 16,139       1.25   $ 16,139     $ 14,184       1.22

2011

  $ 14,231       1.28   $ 15,095     $ 14,606       1.25

2010

  $ 14,050       1.28   $ 14,050     $ 12,493       1.24