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Fair Value of Financial Instruments (Tables)
6 Months Ended
Jun. 30, 2014
Fair Value of Financial Instruments [Abstract]  
Summary of the Fair Value of Financial Instruments

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

    June 30, 2014   December 31, 2013
    Carrying         Carrying      
(In thousands)       Amount       Fair Value       Amount       Fair Value
Balance sheet assets:                        
       Cash and cash equivalents   $      181,723   $      181,723   $      225,262   $      225,262
       Investment securities     327,469     327,469     317,767     317,767
       Loans, net     653,850     652,982     640,498     642,543
       Accrued interest receivable     6,180     6,180     6,030     6,030
              Total   $ 1,169,222   $ 1,168,354   $ 1,189,557   $ 1,191,602
Balance sheet liabilities:                        
       Deposits   $ 551,511   $ 551,805   $ 582,496   $ 583,989
       Accounts and drafts payable     585,858     585,858     543,953     543,953
       Accrued interest payable     70     70     88     88
              Total   $ 1,137,439   $ 1,137,733   $ 1,126,537   $ 1,128,030