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Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2015
Fair Value Disclosures [Abstract]  
Financial Assets and Financial Liabilities Measured at Fair Value

The following table summarizes financial assets and financial liabilities measured at fair value as of June 30, 2015 and December 31, 2014, segregated by the level of the valuation inputs within the fair value hierarchy utilized to measure fair value (in thousands):

 

            Fair Value Measurements at Reporting Date Using:  

June 30, 2015

   Total Fair
Value
     Level 1
Inputs
     Level 2
Inputs
     Level 3
Inputs
 

Items measured on a recurring basis:

           

Investment securities available-for-sale:

           

U.S. agency obligations

   $ 30,030       $ —         $ 30,030       $ —     

Items measured on a non-recurring basis:

           

Other real estate owned

     3,357         —           —           3,357   

Loans measured for impairment based on the fair value of the underlying collateral

     13,093         —           —           13,093   

 

            Fair Value Measurements at Reporting Date Using:  

December 31, 2014

   Total Fair
Value
     Level 1
Inputs
     Level 2
Inputs
     Level 3
Inputs
 

Items measured on a recurring basis:

           

Investment securities available-for-sale:

           

U.S. agency obligations

   $ 19,804       $ —         $ 19,804       $ —     

Items measured on a non-recurring basis:

           

Other real estate owned

     4,664         —           —           4,664   

Loans measured for impairment based on the fair value of the underlying collateral

     11,675         —           —           11,675   
Book Value and Estimated Fair Value of Bank's Significant Financial Instruments Not Recorded at Fair Value

The book value and estimated fair value of the Bank’s significant financial instruments not recorded at fair value as of June 30, 2015 and December 31, 2014 are presented in the following tables (in thousands):

 

            Fair Value Measurements at Reporting Date Using:  

June 30, 2105

   Book
Value
     Level 1
Inputs
     Level 2
Inputs
     Level 3
Inputs
 

Financial Assets:

           

Cash and due from banks

   $ 40,359       $ 40,359       $ —         $ —     

Securities held-to-maturity

     414,625         —           420,409         —     

Federal Home Loan Bank of New York stock

     18,740         —           —           18,740   

Loans receivable and mortgage loans held for sale

     1,774,333         —           —           1,785,437   

Financial Liabilities:

           

Deposits other than time deposits

     1,551,581         —           1,551,581         —     

Time deposits

     210,094         —           211,369         —     

Securities sold under agreements to repurchase with retail customers

     71,687         71,687         —           —     

Federal Home Loan Bank advances and other borrowings

     323,116         —           323,536         —     

 

            Fair Value Measurements at Reporting Date Using:  

December 31, 2014

   Book
Value
     Level 1
Inputs
     Level 2
Inputs
     Level 3
Inputs
 

Financial Assets:

           

Cash and due from banks

   $ 36,117       $ 36,117       $ —         $ —     

Securities held-to-maturity

     469,417         —           474,215         —     

Federal Home Loan Bank of New York stock

     19,170         —           —           19,170   

Loans receivable and mortgage loans held for sale

     1,693,047         —           —           1,709,819   

Financial Liabilities:

           

Deposits other than time deposits

     1,512,917         —           1,512,917         —     

Time deposits

     207,218         —           208,651         —     

Securities sold under agreements to repurchase with retail customers

     67,812         67,812         —           —     

Federal Home Loan Bank advances and other borrowings

     332,738         —           332,432         —