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Fair Value of Financial Instruments (Tables)
6 Months Ended
Jun. 30, 2016
Fair Value Disclosures [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, 2016 December 31, 2015
Carrying Carrying
(In thousands) Amount Fair Value Amount Fair Value
Balance sheet assets:                        
       Cash and cash equivalents $ 274,133 $ 274,133 $ 253,172 $ 253,172
       Investment securities 368,041 368,041 375,696 375,696
       Loans, net 687,462 688,697   647,420   649,161
       Accrued interest receivable 6,345   6,345 6,647 6,647
              Total $ 1,335,981 $ 1,337,216 $ 1,282,935 $ 1,284,676
Balance sheet liabilities:    
       Deposits $ 630,995   $ 631,360   $ 646,484 $ 646,892
       Accounts and drafts payable     650,988 650,988 577,259 577,259
       Accrued interest payable 43 43 35 35
              Total $      1,282,026 $      1,282,391 $      1,223,778 $      1,224,186