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Fair Value of Financial Instruments (Tables)
9 Months Ended
Sep. 30, 2012
Fair Value Disclosures [Abstract]  
Schedule of Unrealized Loss on Investments [Table Text Block]

Following is a summary of the carrying amounts and fair values of the Company’s financial instruments:

September 30, 2012 December 31, 2011
Carrying Carrying
(In thousands)       Amount       Fair Value       Amount       Fair Value
Balance sheet assets:
       Cash and cash equivalents $      219,806 $      219,806 $      235,962 $      235,962
       Investment securities 367,519 367,519 310,612 310,612
       Loans, net 668,853 671,757 658,611 665,348
       Accrued interest receivable     6,168 6,168 6,125 6,125
              Total $ 1,262,346 $ 1,265,250 $ 1,211,310   $ 1,218,047
Balance sheet liabilities:      
       Deposits $ 548,334   $ 548,837   $ 548,368 $ 548,985
       Accounts and drafts payable 648,944 648,944   595,201 595,201
       Accrued interest payable 142 142 159 $ 159
              Total $ 1,197,420 $ 1,197,923 $ 1,143,728 $ 1,144,345