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Fair Value (Tables)
12 Months Ended
Dec. 31, 2012
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block]
      Quoted Prices in Significant  
      Active Markets Other Significant
      for Observable Unobservable
      Identical Assets Inputs Inputs
(Dollars in thousands) Amount (Level 1) (Level 2) (Level 3)
December 31, 2012:        
Securities available-for-sale:        
 Agency obligations $ 39,525   39,525 
 Agency RMBS  141,460   141,460 
 State and political subdivisions  77,838   77,838 
 Trust preferred securities 652       652
Total securities available-for-sale  259,475   258,823  652
Other assets (1)  1,210   1,210 
  Total assets at fair value$260,685      260,033  652
           
Other liabilities(1)  1,210   1,210 
  Total liabilities at fair value$ 1,210   1,210 
           
December 31, 2011:        
Securities available-for-sale:        
 Agency obligations $ 51,085   51,085 
 Agency RMBS  164,798   164,798 
 State and political subdivisions  81,713   81,713 
 Trust preferred securities  1,986    1,986
Total securities available-for-sale  299,582   297,596  1,986
Other assets (1)  1,325   1,325 
  Total assets at fair value$300,907  298,921  1,986
           
Other liabilities(1)  1,325   1,325 
  Total liabilities at fair value$ 1,325   1,325 
           
(1)Represents the fair value of interest rate swap agreements.
Fair Value, Assets and Liabilities Measured on Nonrecurring Basis [Table Text Block]
     Quoted Prices in    
     Active Markets Other Significant
     for Observable Unobservable
     Identical Assets Inputs Inputs
(Dollars in thousands) Amount (Level 1) (Level 2) (Level 3)
December 31, 2012:        
Loans held for sale$ 2,887   2,887 
Loans, net(1)  10,272    10,272
Other real estate owned  4,919    4,919
Other assets (2)  1,526    1,526
 Total assets at fair value$ 19,604   2,887  16,717
          
December 31, 2011:        
Loans held for sale$ 3,346   3,346 
Loans, net(1)  9,765    9,765
Other real estate owned  7,898    7,898
Other assets (2)  1,245    1,245
 Total assets at fair value$ 22,254   3,346  18,908
          
(1)Loans considered impaired under FASB ASC 310-10-35 Receivables. This amount reflects the recorded investment in
 impaired loans, net of any related allowance for loan losses.
(2)Represents the carrying value of MSRs, net.
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Table Text Block]
      Year ended December 31
(Dollars in thousands)   2012  2011  2010
Beginning balance   $ 1,986 $ 2,149 $ 1,463
 Total realized and unrealized gains and (losses):          
  Included in net earnings    (6)   (338)   (1,218)
  Included in other comprehensive income    146   175   1,904
 Sales    (974)    
 Settlements    (500)    
Ending balance  $ 652 $ 1,986 $ 2,149
Fair Value, Assets and Liabilities Measured on Nonrecurring Basis, Valuation Techniques [Table Text Block]
         Weighted
  Carrying     Average
(Dollars in thousands) Amount Valuation Technique Significant Unobservable Input of Input
Recurring:         
Trust preferred securities$ 652 Discounted cash flow Credit spread (basis points) 643bp
           
Nonrecurring:         
Impaired loans$ 10,272 Appraisal Appraisal discounts (%) 6.8%
Other real estate owned  4,919 Appraisal Appraisal discounts (%) 9.8%
Mortgage servicing rights, net  1,526 Discounted cash flow Prepayment speed or CPR (%) 23.7%
       Discount rate (%) 11.0%
  
Financial Instruments [Table Text Block]
          Fair Value Hierarchy
    Carrying   Estimated  Level 1  Level 2  Level 3
(Dollars in thousands)  amount  fair value  inputs  inputs  Inputs
December 31, 2012:               
Financial Assets:               
 Loans, net (1) $391,470 $399,533 $ $ $399,533
Financial Liabilities:               
 Time Deposits $263,195 $267,636 $ $267,636 $
 Long-term debt  47,217  51,752    51,752  
                 
December 31, 2011:               
Financial Assets:               
 Loans, net (1) $363,344 $371,433 $ $ $371,433
Financial Liabilities:               
 Time Deposits $281,362 $286,644 $ $286,644 $
 Long-term debt  85,313  93,360    93,360  
                 
(1) Represents loans, net of unearned income and the allowance for loan losses.