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INVESTMENT SECURITIES AVAILABLE FOR SALE (Tables)
12 Months Ended
Dec. 31, 2015
INVESTMENT SECURITIES AVAILABLE FOR SALE [Abstract]  
Schedule of Amortized Cost and Approximate Fair Value of Securities Available for Sale
    2015  
          Gross     Gross        
    Amortized     Unrecognized     Unrecognized     Fair  
(In thousands)   Cost     Gains     Losses     Value  
Mortgage-backed securities-residential   $ 159,747     $ 1,293     $ (433 )   $ 160,607  
SBA pool securities     7,601             (81 )     7,520  
State and political subdivisions     21,612       417             22,029  
Single-issuer trust preferred security     2,999             (464 )     2,535  
CRA investment fund     3,000             (61 )     2,939  
  Total   $ 194,959     $ 1,710     $ (1,039 )   $ 195,630  
    2014  
          Gross     Gross        
    Amortized     Unrecognized     Unrecognized     Fair  
(In thousands)   Cost     Gains     Losses     Value  
U.S. government-sponsored entities   $ 35,664     $ 55     $ (49 )   $ 35,670  
Mortgage-backed securities-residential     239,975       2,725       (411 )     242,289  
SBA pool securities     8,015             (71 )     7,944  
State and political subdivisions     40,842       553       (1 )     41,394  
Single-issuer trust preferred security     2,999             (599 )     2,400  
CRA investment fund     3,000             (45 )     2,955  
  Total   $ 330,495       3,333       (1,176 )     332,652  
Schedule of Securities Classified by Maturity
Maturing in:            
(In thousands)   Amortized Cost     Fair Value  
One year or less   $ 7,150     $ 7,167  
After one year through five years     8,312       8,484  
After five years through ten years     5,066       5,220  
After ten years     4,083       3,693  
      24,611       24,564  
Mortgage-backed securities-residential     159,747       160,607  
SBA pool securities     7,601       7,520  
CRA investment fund     3,000       2,939  
  Total   $ 194,959     $ 195,630  
Schedule of Proceeds, Gains, Losses and Tax Effects
(In thousands)   2015     2014     2013  
Proceeds on sales   $ 46,254     $ 35,411     $ 54,881  
Gross gains     536       414       1,010  
Gross losses     (9 )     (154 )     (170 )
Net tax expense     216       91       294  
Schedule of Continuous Unrealized Losses and the Approximate Fair Value of these Investments
    2015  
    Duration of Unrecognized Loss  
    Less Than 12 Months     12 Months or Longer     Total  
    Approximate           Approximate           Approximate        
    Fair     Unrecognized     Fair     Unrecognized     Fair     Unrecognized  
(In thousands)   Value     Losses     Value     Losses     Value     Losses  
Mortgage-backed                                                
  securities-residential   $ 89,717     $ (345 )   $ 8,913     $ (88 )   $ 98,630     $ (433 )
SBA pool securities                   7,520       (81 )     7,520       (81 )
Single-issuer trust                                                
  preferred security                 2,535       (464 )     2,535       (464 )
CRA investment fund                 2,939       (61 )     2,939       (61 )
    Total   $ 89,717     $ (345 )   $ 21,907     $ (694 )   $ 111,624     $ (1,039 )
    2014  
    Duration of Unrecognized Loss  
    Less Than 12 Months     12 Months or Longer     Total  
    Approximate           Approximate           Approximate        
    Fair     Unrecognized     Fair     Unrecognized     Fair     Unrecognized  
(In thousands)   Value     Losses     Value     Losses     Value     Losses  
U.S. government                                                
  sponsored entities   $ 19,119     $ (20 )   $ 2,963     $ (29 )   $ 22,082     $ (49 )
Mortgage-backed                                                
  securities-residential     65,368       (191 )     20,428       (220 )     85,796       (411 )
SBA pool securities     7,944       (71 )                 7,944       (71 )
State and political                                                
  subdivisions     505       (1 )                 505       (1 )
Single-issuer trust                                                
  Preferred security                 2,400       (599 )     2,400       (599 )
CRA investment fund                 2,955       (45 )     2,955       (45 )
    Total   $ 92,936     $ (283 )   $ 28,746     $ (893 )   $ 121,682     $ (1,176 )