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Fair Value Measurements - Carrying Value and Fair Value of Financial Instruments (Details) (USD $)
In Thousands, unless otherwise specified
Sep. 30, 2014
Dec. 31, 2013
Financial Assets:    
Investment securities held to maturity $ 39,029 $ 36,340
Level 1
   
Financial Assets:    
Cash and cash equivalents 210,150 130,400
Other interest earning deposits 0 0
Investment securities available for sale 1,964 0
Investment securities held to maturity 0 0
Loans held for sale 0  
Loans receivable, net of allowance for loan losses 0 0
Accrued interest receivable 11 26
Financial Liabilities:    
Noninterest deposits, NOW accounts, money market accounts and savings accounts 2,325,152 1,089,759
Certificate of deposit accounts 0 0
Total deposits 2,325,152 1,089,759
Securities sold under agreement to repurchase 35,390 29,420
Junior subordinated debentures 0  
Accrued interest payable 56 17
Level 2
   
Financial Assets:    
Cash and cash equivalents 0 0
Other interest earning deposits 13,155 15,747
Investment securities available for sale 680,687 163,134
Investment securities held to maturity 39,029 36,340
Loans held for sale 4,737  
Loans receivable, net of allowance for loan losses 0 0
Accrued interest receivable 3,200 910
Financial Liabilities:    
Noninterest deposits, NOW accounts, money market accounts and savings accounts 0 0
Certificate of deposit accounts 578,696 311,065
Total deposits 578,696 311,065
Securities sold under agreement to repurchase 0 0
Junior subordinated debentures 0  
Accrued interest payable 432 135
Level 3
   
Financial Assets:    
Cash and cash equivalents 0 0
Other interest earning deposits 0 0
Investment securities available for sale 0 0
Investment securities held to maturity 0 0
Loans held for sale 0  
Loans receivable, net of allowance for loan losses 2,230,733 1,218,192
Accrued interest receivable 6,776 4,526
Financial Liabilities:    
Noninterest deposits, NOW accounts, money market accounts and savings accounts 0 0
Certificate of deposit accounts 0 0
Total deposits 0 0
Securities sold under agreement to repurchase 0 0
Junior subordinated debentures 19,027  
Accrued interest payable 19 0
Carrying Value
   
Financial Assets:    
Cash and cash equivalents 210,150 130,400
Other interest earning deposits 13,129 15,662
Investment securities available for sale 682,651 163,134
Investment securities held to maturity 38,213 36,154
Federal Home Loan Bank stock 12,363 5,741
Loans held for sale 4,641  
Loans receivable, net of allowance for loan losses 2,174,541 1,203,096
Accrued interest receivable 9,987 5,462
Financial Liabilities:    
Noninterest deposits, NOW accounts, money market accounts and savings accounts 2,325,152 1,089,759
Certificate of deposit accounts 577,917 309,430
Total deposits 2,903,069 1,399,189
Securities sold under agreement to repurchase 35,390 29,420
Junior subordinated debentures 19,027  
Accrued interest payable 507 152
Fair Value
   
Financial Assets:    
Cash and cash equivalents 210,150 130,400
Other interest earning deposits 13,155 15,747
Investment securities available for sale 682,651 163,134
Investment securities held to maturity 39,029 36,340
Loans held for sale 4,737  
Loans receivable, net of allowance for loan losses 2,230,733 1,218,192
Accrued interest receivable 9,987 5,462
Financial Liabilities:    
Noninterest deposits, NOW accounts, money market accounts and savings accounts 2,325,152 1,089,759
Certificate of deposit accounts 578,696 311,065
Total deposits 2,903,848 1,400,824
Securities sold under agreement to repurchase 35,390 29,420
Junior subordinated debentures 19,027  
Accrued interest payable $ 507 $ 152