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Note 11 - Fair Values of Financial Instruments (Tables)
9 Months Ended
Sep. 30, 2014
Fair Value Disclosures [Abstract]  
Fair Value, by Balance Sheet Grouping [Table Text Block]
 

Level in

 

September 30, 2014

    December 31, 2013  
 

Fair Value

 

Carrying

   

Fair

   

Carrying

    Fair  
 

Hierarchy

 

Values

   

Values

   

Values

    Values  
                                   

Financial assets:

                                 

Cash

Level 1

  $ 14,296     $ 14,296     $ 1,464     $ 1,464  

Cash equivalents

Level 2

    117,956       117,956       145,501       145,501  

Securities available for sale

(1)

    454,009       454,009       131,178       131,178  

FHLB stock

(2)

    19,226       19,226       11,961       11,961  

Loans, net

Level 3

    2,047,891       2,042,291       1,030,422       1,027,300  

Bank owned life insurance

Level 2

    55,992       55,992       51,377       51,377  

Accrued interest receivable

Level 2

    8,292       8,292       3,649       3,649  
                                   

Financial liabilities:

                                 

Deposits

Level 2

    2,271,708       2,258,113       1,118,911       1,120,576  

Repurchase agreements

Level 2

    142,869       142,869       69,305       69,305  

FHLB advances

Level 2

    57,033       57,418       45,000       45,139  

Subordinated debentures

Level 2

    54,301       54,301       32,990       32,974  

Accrued interest payable

Level 2

    1,832       1,832       2,041       2,041  

Interest rate swap

(1)

    135       135       264       264