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INVESTMENT SECURITIES (Schedule of Cost Basis and Fair Values of Investment Securities) (Details) (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Investment securities available for sale:    
Cost basis $ 145,265 $ 176,173
Gross unrealized gains 6,393 6,785
Gross unrealized losses (120) (35)
Fair value 151,538 182,923
Investment securities held to maturity:    
Cost basis 13,723 12,280
Gross unrealized gains 598 643
Gross unrealized losses (55) (9)
Fair value 14,266 12,914
U.S. Agency [Member]
   
Investment securities available for sale:    
Cost basis 5,848 10,689
Gross unrealized gains 70 48
Gross unrealized losses (7) (28)
Fair value 5,911 10,709
U.S. Agency Mortgage-Backed Securities [Member]
   
Investment securities available for sale:    
Cost basis 131,425 165,484
Gross unrealized gains 6,320 6,737
Gross unrealized losses (10) (7)
Fair value 137,735 172,214
Investment securities held to maturity:    
Cost basis 9,318 9,280
Gross unrealized gains 578 643
Gross unrealized losses      
Fair value 9,896 9,923
Corporate Bond Securities [Member]
   
Investment securities available for sale:    
Cost basis 7,992  
Gross unrealized gains 3  
Gross unrealized losses (103)  
Fair value 7,892  
Other Securities [Member]
   
Investment securities held to maturity:    
Cost basis   3,000
Gross unrealized gains     
Gross unrealized losses   (9)
Fair value   2,991
Taxable Municipal [Member]
   
Investment securities held to maturity:    
Cost basis 410  
Gross unrealized gains 6  
Gross unrealized losses     
Fair value 416  
Corporate Bonds And Other Securities [Member]
   
Investment securities held to maturity:    
Cost basis 3,995  
Gross unrealized gains 14  
Gross unrealized losses (55)  
Fair value $ 3,954