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16. Fair Value of Financial Instruments (Tables)
12 Months Ended
Dec. 31, 2013
Fair Value Disclosures [Abstract]  
Carrying amount and estimated fair value of the Company's financial instruments
(Dollars in thousands)                  
      Fair Value Measurements at December 31, 2013
 

Carrying

Amount

  Level 1   Level 2   Level 3   Total
Assets:                  
Cash and cash equivalents $ 76,773   76,773   -   -   76,773
Investment securities available for sale   297,890   1,689   294,951   1,250   297,890
Other investments   4,990   -   -   4,990   4,990
Mortgage loans held for sale   497   -   -   497   497
Loans, net   607,459   -   -   612,132   612,132
Cash surrender value of life insurance   13,706   -   13,706   -   13,706
                     
Liabilities:                    
Deposits $ 799,361   -   798,460   -   798,460
Securities sold under agreements                    
to repurchase   45,396   -   45,396   -   45,396
FHLB borrowings   65,000   -   65,891   -   65,891
Junior subordinated debentures   20,619   -   20,619   -   20,619
                     
                     
(Dollars in thousands)                    
        Fair Value Measurements at December 31, 2012
 

Carrying

Amount

  Level 1   Level 2   Level 3   Total
Assets:                    
Cash and cash equivalents $ 48,843   48,843   -   -   48,843
Investment securities available for sale   297,823   1,468   295,105   1,250   297,823
Other investments   5,599   -   -   5,599   5,599
Mortgage loans held for sale   6,922   -   -   6,922   6,922
Loans, net   605,551   -   -   599,996   599,996
Cash surrender value of life insurance   13,273   -   13,273   -   13,273
                     
Liabilities:                    
Deposits $ 781,525   -   780,662   -   780,662
Securities sold under agreements                    
to repurchase   34,578   -   34,578   -   34,578
FHLB borrowings   70,000   -   76,375   -   76,375
Junior subordinated debentures   20,619   -   20,619   -   20,619