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Fair Value (Tables)
12 Months Ended
Dec. 31, 2016
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block]
Quoted Prices inSignificant
Active MarketsOtherSignificant
forObservableUnobservable
Identical AssetsInputsInputs
(Dollars in thousands)Amount(Level 1)(Level 2)(Level 3)
December 31, 2016:
Securities available-for-sale:
Agency obligations $45,47145,471
Agency RMBS127,787127,787
State and political subdivisions70,31470,314
Total securities available-for-sale243,572243,572
Other assets (1)241241
Total assets at fair value$243,813243,813
Other liabilities(1)241241
Total liabilities at fair value$241241
December 31, 2015:
Securities available-for-sale:
Agency obligations $60,08560,085
Agency RMBS110,954110,954
State and political subdivisions70,64870,648
Total securities available-for-sale241,687241,687
Other assets (1)440440
Total assets at fair value$242,127242,127
Other liabilities(1)440440
Total liabilities at fair value$440440
(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 MarketsOtherSignificant
forObservableUnobservable
Identical AssetsInputsInputs
(Dollars in thousands)Amount(Level 1)(Level 2)(Level 3)
December 31, 2016:
Loans held for sale$1,4971,497
Loans, net(1)2,0992,099
Other real estate owned152152
Other assets (2)1,9521,952
Total assets at fair value$5,7001,4974,203
December 31, 2015:
Loans held for sale$1,5401,540
Loans, net(1)3,2863,286
Other real estate owned252252
Other assets (2)2,3162,316
Total assets at fair value$7,3941,5405,854
(1)Loans considered impaired under ASC 310-10-35 Receivables. This amount reflects the recorded investment in
impaired loans, net of any related allowance for loan losses.
(2)Represents MSRs, net, carried at lower of cost or estimated fair value.
Fair Value, Assets and Liabilities Measured on Nonrecurring Basis, Valuation Techniques [Table Text Block]
Weighted
CarryingAverage
(Dollars in thousands)AmountValuation TechniqueSignificant Unobservable Inputof Input
Nonrecurring:
Impaired loans$2,099AppraisalAppraisal discounts (%)45.2%
Other real estate owned152AppraisalAppraisal discounts (%)10.0%
Mortgage servicing rights, net1,952Discounted cash flowPrepayment speed or CPR (%)10.9%
Discount rate (%)10.0%
Financial Instruments [Table Text Block]
Fair Value Hierarchy
Carrying EstimatedLevel 1Level 2Level 3
(Dollars in thousands)amountfair valueinputsinputsInputs
December 31, 2016:
Financial Assets:
Loans, net (1)$426,303$428,446$$$428,446
Loans held for sale1,4971,5071,507
Financial Liabilities:
Time Deposits$208,137$207,791$$207,791$
Long-term debt3,2173,2173,217
December 31, 2015:
Financial Assets:
Loans, net (1)$422,121$427,340$$$427,340
Loans held for sale1,5401,5741,574
Financial Liabilities:
Time Deposits$219,598$220,093$$220,093$
Long-term debt7,2177,2177,217
(1) Represents loans, net of unearned income and the allowance for loan losses.