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Fair Value of Financial Instruments (Tables)
6 Months Ended
Jun. 30, 2017
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, 2017 December 31, 2016
Carrying             Carrying      
(In thousands) Amount Fair Value Amount Fair Value
Balance sheet assets:
Cash and cash equivalents $ 301,060 $ 301,060 $ 266,743 $ 266,743
Investment securities 431,979 431,979 390,552 390,552
Loans, net 661,487 658,280 654,691 652,028
Accrued interest receivable 7,037 7,037 6,543 6,543
Total $       1,401,563 $       1,398,356 $       1,318,529 $       1,315,866
Balance sheet liabilities:
Deposits $ 605,039 $ 605,382 $ 621,961 $ 622,173
Accounts and drafts payable 729,403 729,403 642,287 642,287
Accrued interest payable 41 41 46 46
Total $ 1,334,483 $ 1,334,826 $ 1,264,294 $ 1,264,506