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6. Fair Value (Tables)
6 Months Ended
Jun. 30, 2017
Fair Value Disclosures [Abstract]  
Available for sale securities measured at fair value on a recurring basis
(Dollars in thousands)                      
    June 30, 2017         
    Fair Value Measurements    

Level 1

Valuation

   

Level 2

Valuation

   

Level 3

Valuation

Mortgage-backed securities   $ 60,377       -       60,377       -
U.S. Government                              
sponsored enterprises   $ 39,627       -       39,627       -
State and political subdivisions   $ 139,530       -       139,530       -
Corporate bonds   $ 1,536       -       1,536       -
Trust preferred securities   $ 250       -       -       250

 

(Dollars in thousands)                      
    December 31, 2016         
    Fair Value Measurements    

Level 1

Valuation

   

Level 2

Valuation

   

Level 3

Valuation

Mortgage-backed securities   $ 67,585       -       67,585       -
U.S. Government                              
sponsored enterprises   $ 38,222       -       38,222       -
State and political subdivisions   $ 141,856       -       141,856       -
Corporate bonds   $ 1,533       -       1,533       -
Trust preferred securities   $ 750       -       -       750

 

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   $ 750  
Change in book value     -  
Change in gain/(loss) realized and unrealized     -  
Purchases/(sales and calls)     (500 )
Transfers in and/or (out) of Level 3     -  
Balance, end of period   $ 250  
         
Change in unrealized gain/(loss) for assets still held in Level 3   $ -  
Fair value measurements for mortgage loans held for sale, impaired loans and other real estate on a non-recurring basis

(Dollars in thousands)                        
   

Fair Value Measurements

June 30, 2017

   

Level 1

Valuation

   

Level 2

Valuation

   

Level 3

Valuation

 
Mortgage loans held for sale   $ 3,513       -       -       3,513  
Impaired loans   $ 27,097       -       -       27,097  
Other real estate   $ -       -       -       -  

 

(Dollars in thousands)                        
   

Fair Value

Measurements

December 31, 2016 

 

Level 1

Valuation

   

Level 2

Valuation

   

Level 3

Valuation

 
Mortgage loans held for sale   $ 5,709       -       -       5,709  
Impaired loans   $ 25,772       -       -       25,772  
Other real estate   $ 283       -       -       283  

 

(Dollars in thousands)                
 

Fair Value

June 30, 2017

 

Fair Value

December 31, 2016

 

Valuation

Technique

 

Significant

Unobservable

Inputs

 

General Range

of Significant

Unobservable

Input Values

Mortgage loans

held for sale

$ 3,513   5,709  

Rate lock

commitment

  N/A   N/A
Impaired loans $ 27,097   25,772  

 Appraised value

and discounted

 cash flows

 

Discounts to

reflect current

market conditions

and ultimate

collectability

  0 - 25%
Other real estate $ -   283    Appraised value  

Discounts to

reflect current

market conditions

 and estimated

costs to sell

  0 - 25%

 

Carrying amount and estimated fair value of the Company's financial instruments
(Dollars in thousands)                            
          Fair Value Measurements at June 30, 2017
   

Carrying

Amount

    Level 1     Level 2     Level 3     Total
Assets:                            
Cash and cash equivalents   $ 75,055       75,055       -       -       75,055
Investment securities available for sale   $ 241,320       -       241,070       250       241,320
Other investments   $ 2,680       -       -       2,680       2,680
Mortgage loans held for sale   $ 3,513       -       -       3,513       3,513
Loans, net   $ 737,871       -       -       742,471       742,471
Cash surrender value of life insurance   $ 15,351       -       15,351       -       15,351
                                       
Liabilities:                                      
Deposits   $ 892,485       -       -       882,109       882,109
Securities sold under agreements                                      
to repurchase   $ 49,977       -       49,977       -       49,977
FHLB borrowings   $ 20,000       -       19,934       -       19,934
Junior subordinated debentures   $ 20,619       -       20,619       -       20,619

  

(Dollars in thousands)                            
          Fair Value Measurements at December 31, 2016
   

Carrying

Amount

    Level 1     Level 2     Level 3     Total
Assets:                            
Cash and cash equivalents   $ 70,094       70,094       -       -       70,094
Investment securities available for sale   $ 249,946       -       249,196       750       249,946
Other investments   $ 2,635       -       -       2,635       2,635
Mortgage loans held for sale   $ 5,709       -       -       5,709       5,709
Loans, net   $ 716,261       -       -       720,675       720,675
Cash surrender value of life insurance   $ 14,952       -       14,952       -       14,952
                                       
Liabilities:                                      
Deposits   $ 892,918       -       -       884,510       884,510
Securities sold under agreements                                      
to repurchase   $ 36,434       -       36,434       -       36,434
FHLB borrowings   $ 20,000       -       18,864       -       18,864
Junior subordinated debentures   $ 20,619       -       20,619       -       20,619