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Disclosures About Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2013
Disclosures About Fair Value Measurements [Abstract]  
Assets and Liabilities Measured on Recurring Basis
     
    Fair Value Measurements at June 30, 2013 Using
     Total   (Level 1)   (Level 2)   (Level 3)
US Agency securities   $ 7,924     $ -     $ 7,924     $ -  
US Agency mortgage-backed securities     129,971       -       129,971       -  
Corporate bonds     11,761       -       11,761       -  
Fair value of swap asset     53       -       53       -  
Fair value of swap liability     53       -       53       -  
                 
    Fair Value Measurements at December 31, 2012 Using
     Total   (Level 1)   (Level 2)   (Level 3)
US Agency securities   $ 5,911     $ -     $ 5,911     $ -  
US Agency mortgage-backed securities     137,735       -       137,735       -  
Corporate bonds     7,892       -       7,892       -  
Fair value of swap asset     164       -       164       -  
Fair value of swap liability     164       -       164       -  
Assets Measured at Fair Value on Non-Recurring Basis
     
    Fair Value Measurements at June 30, 2013 Using
     Total   (Level 1)   (Level 2)   (Level 3)
Impaired loans   $ 1,503     $ -     $ -     $ 1,503  
Other real estate owned     1,641       -       -       1,641  
                 
    Fair Value Measurements at December 31, 2012 Using
     Total   (Level 1)   (Level 2)   (Level 3)
Impaired loans   $ 3,220     $ -     $ -     $ 3,220  
Other real estate owned     1,228       -       -       1,228  
                 
    Quantitative Information About Level 3 Fair Value Measurements
June 30, 2013   Fair Value Estimate   Valuation Techniques   Unobservable
Input
  Range
Impaired loans   $ 1,503       Appraisal of
collateral
(1)      Appraisal adjustments (2)
Liquidation expenses(2) 
    0% to 35%
1% to 15
% 
Other real estate owned     1,641       Appraisal of
collateral(1),(3)
      Appraisal adjustments (2)
Liquidation expenses(2) 
    0% to 35%
1% to 20
% 
                 
    Quantitative Information About Level 3 Fair Value Measurements
December 31, 2012   Fair Value Estimate   Valuation Techniques   Unobservable Input   Range
Impaired loans   $ 3,220       Appraisal of
collateral
(1)      Appraisal adjustments (2)
Liquidation expenses(2) 
    0% to 35%
1% to 15
% 
Other real estate owned     1,228       Appraisal of
collateral(1),(3)
      Appraisal adjustments (2)
Liquidation expenses(2) 
    0% to 35%
1% to 20
% 
  (1) Fair Value is generally determined through independent appraisals of the underlying collateral, which generally include various level 3 inputs which are not identifiable.
  (2) Appraisals may be adjusted by management for qualitative factors such as economic conditions and estimated liquidation expenses.
  (3) Includes qualitative adjustments by management and estimated liquidation expenses.
Fair Value of Financial Instruments
                     
    June 30, 2013
     Carrying Value   Fair
Value
  (Level 1)   (Level 2)   (Level 3)
FINANCIAL ASSETS:
                                            
Cash and cash equivalents   $ 25,655     $ 25,655     $ 25,655     $ -     $ -  
Investment securities - AFS     149,656       149,656       -       149,656       -  
Investment securities -  HTM     18,628       18,479       -       15,486       2,993  
Regulatory stock     6,991       6,991       6,991       -       -  
Loans held for sale     6,625       6,752       6,752       -       -  
Loans, net of allowance for loan loss and unearned income     733,752       735,903       -       -       735,903  
Accrued income receivable     3,242       3,242       3,242       -       -  
Bank owned life insurance     36,260       36,260       36,260       -       -  
Fair value swap asset     53       53       -       53       -  
FINANCIAL LIABILITIES:
                                            
Deposits with no stated maturities   $ 533,969     $ 533,969     $ 533,969     $ -     $ -  
Deposits with stated maturities     306,303       312,783       -       -       312,783  
Short-term borrowings     34,292       34,292       34,292       -       -  
All other borrowings     29,085       32,311       -       -       32,311  
Accrued interest payable     1,557       1,557       1,557       -       -  
Fair value swap liability     53       53       -       53       -  
                     
    December 31, 2012
     Carrying Value   Fair
Value
  (Level 1)   (Level 2)   (Level 3)
FINANCIAL ASSETS:
                                            
Cash and cash equivalents   $ 26,820     $ 26,820     $ 26,820     $ -     $ -  
Investment securities - AFS     151,538       151,538       -       151,538       -  
Investment securities - HTM     13,723       14,266       -       11,321       2,945  
Regulatory stock     6,304       6,304       6,304       -       -  
Loans held for sale     10,576       10,722       10,722       -       -  
Loans, net of allowance for loan loss and unearned income     708,594       716,756       -       -       716,756  
Accrued income receivable     2,960       2,960       2,960       -       -  
Bank owned life insurance     36,214       36,214       36,214       -       -  
Fair value swap asset     164       164       -       164       -  
FINANCIAL LIABILITIES:
                                            
Deposits with no stated maturities   $ 520,002     $ 520,002     $ 520,002     $ -     $ -  
Deposits with stated maturities     315,732       320,930       -       -       320,930  
Short-term borrowings     15,660       15,660       15,660       -       -  
All other borrowings     26,085       30,442       -       -       30,442  
Accrued interest payable     2,083       2,083       2,083       -       -  
Fair value swap liability     164       164       -       164       -