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2. Investment Securities (Tables)
12 Months Ended
Dec. 31, 2013
Investment Securities Tables  
Investment securities available for sale

 

(Dollars in thousands)              
  December 31, 2013
 

Amortized

Cost

 

Gross

Unrealized

Gains

 

Gross

Unrealized

Losses

  Estimated Fair Value
Mortgage-backed securities $ 123,706   1,040   769   123,977
U.S. Government                
sponsored enterprises   22,115   97   69   22,143
State and political subdivisions   148,468   1,987   5,087   145,368
Corporate bonds   3,522   11   70   3,463
Trust preferred securities   1,250   -     -     1,250
Equity securities   748   941   -     1,689
Total $ 299,809   4,076   5,995   297,890

  

(Dollars in thousands)              
  December 31, 2012
 

Amortized

Cost

 

Gross

Unrealized

Gains

 

Gross

Unrealized

Losses

  Estimated Fair Value
Mortgage-backed securities $ 146,755   1,875   606   148,024
U.S. Government                
sponsored enterprises   18,714   203   80   18,837
State and political subdivisions   118,591   7,171   104   125,658
Corporate bonds   2,571   19   4   2,586
Trust preferred securities   1,250   -     -     1,250
Equity securities   748   720   -     1,468
Total $ 288,629   9,988   794   297,823
Current fair value and associated unrealized losses on investments in debt securities with unrealized losses

 

(Dollars in thousands)            
  December 31, 2013
  Less than 12 Months   12 Months or More   Total
  Fair Value  

Unrealized

Losses

  Fair Value  

Unrealized

Losses

  Fair Value  

Unrealized

Losses

Mortgage-backed securities $ 40,857   691   10,128   78   50,985   769
U.S. Government                        
sponsored enterprises   9,714   69   -     -     9,714   69
State and political subdivisions   77,187   4,863   1,824   224   79,011   5,087
Corporate bonds   1,984   16   511   54   2,495   70
Total $ 129,742   5,639   12,463   356   142,205   5,995
                         
(Dollars in thousands)                        
  December 31, 2012
  Less than 12 Months   12 Months or More   Total
  Fair Value  

Unrealized

Losses

  Fair Value  

Unrealized

Losses

  Fair Value  

Unrealized

Losses

Mortgage-backed securities $ 48,126   468   12,913   138   61,039   606
U.S. Government                        
sponsored enterprises   3,402   80   -     -     3,402   80
State and political subdivisions   9,490   104   -     -     9,490   104
Corporate bonds   1,035   4   -     -     1,035   4
Total $ 62,053   656   12,913   138   74,966   794

Amortized cost and estimated fair value of investment securities available for sale by contractual maturity
December 31, 2013      
(Dollars in thousands)      
  Amortized Cost  

Estimated Fair

Value

Due within one year $ 4,019   4,048
Due from one to five years   31,725   32,103
Due from five to ten years   119,313   115,878
Due after ten years   20,298   20,195
Mortgage-backed securities   123,706   123,977
Equity securities   748   1,689
Total $ 299,809   297,890
Available for sale securities measured at fair value on a recurring basis

 

(Dollars in thousands)              
  December 31, 2013
  Fair Value Measurements  

Level 1

Valuation

 

Level 2

Valuation

 

Level 3

Valuation

Mortgage-backed securities $ 123,977   -   123,977   -
U.S. Government                
sponsored enterprises $ 22,143   -   22,143   -
State and political subdivisions $ 145,368   -   145,368   -
Corporate bonds $ 3,463   -   3,463   -
Trust preferred securities $ 1,250   -   -   1,250
Equity securities $ 1,689   1,689   -   -

 

(Dollars in thousands)              
  December 31, 2012
  Fair Value Measurements  

Level 1

Valuation

 

Level 2

Valuation

 

Level 3

Valuation

Mortgage-backed securities $ 148,024   -   148,024   -
U.S. Government                
sponsored enterprises $ 18,837   -   18,837   -
State and political subdivisions $ 125,658   -   125,658   -
Corporate bonds $ 2,586   -   2,586   -
Trust preferred securities $ 1,250   -   -   1,250
Equity securities $ 1,468   1,468   -   -
Fair value measurements of investment securities available for sale using Level 3 significant unobservable inputs
(Dollars in thousands)  
  Investment Securities Available for Sale
  Level 3 Valuation
Balance, beginning of period $ 1,250
Change in book value   -
Change in gain/(loss) realized and unrealized   -
Purchases/(sales)   -
Transfers in and/or (out) of Level 3   -
Balance, end of period $ 1,250
     
Change in unrealized gain/(loss) for assets still held in Level 3 $ -