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Fair Value Measurements (Tables)
9 Months Ended
Sep. 30, 2020
Fair Value Disclosures [Abstract]  
Schedule Of Assets And Liabilities Measured At Fair Value On A Recurring And Nonrecurring Basis The following table presents assets and liabilities measured at fair value (in thousands):
TotalLevel 1Level 2Level 3Total Gains (Losses)
September 30, 2020     
Recurring fair value measurements     
Financial Assets     
Obligations of states and political subdivisions$263,302 $ $263,302 $  
Mortgage-backed securities:  
U.S. Government agencies843,233  843,233   
Private label11,377  6,126 5,251  
Trust preferred securities3,892  3,892   
Corporate securities33,354  29,331 4,023  
Marketable equity securities10,936 5,955 4,981   
Certificates of deposit held for investment2,241  2,241  
Derivative assets62,687  62,687  
Financial Liabilities     
Derivative liabilities63,020  63,020   
Nonrecurring fair value measurements     
Financial Assets
Loans individually evaluated$10,612 $ $ $10,612 $(1,172)
Non-Financial Assets
     Other real estate owned2,080   2,080 (267)
December 31, 2019     
Recurring fair value measurements     
Financial Assets     
U.S. Government agencies$502 $ $502 $—  
Obligations of states and political subdivisions117,187  117,187   
Mortgage-backed securities:  
U.S. Government agencies642,104  642,104   
Private label11,485  5,841 5,644  
Trust preferred securities4,461  4,461 —  
Corporate securities32,126  28,064 4,062  
Marketable equity securities12,634 7,787 4,847   
Certificates of deposit held for investment2,241 — 2,241  
Derivative assets19,310  19,310   
Financial Liabilities  
Derivative liabilities19,380  19,380   
Nonrecurring fair value measurements     
Financial Assets
Impaired loans$8,925 $— $— $8,925 $(87)
Non-Financial Assets
Other real estate owned4,670  — 4,670 (470)
Other assets100  — 100 (297)
Schedule Of Estimates Of Fair Value Of Financial Instruments
The following table represents the estimates of fair value of financial instruments (in thousands). This table excludes financial instruments for which the carrying amount approximates fair value. For short-term financial assets such as cash and cash equivalents, the carrying amount is a reasonable estimate of fair value due to the relatively short time between the origination of the instrument and its expected realization. For financial liabilities such as noninterest-bearing demand, interest-bearing demand and savings deposits, the carrying amount is a reasonable estimate of fair value due to these products having no stated maturity.
Carrying AmountFair ValueLevel 1Level 2Level 3
September 30, 2020     
Assets:
   Cash and cash equivalents$252,718 $252,718 $252,718 $ $ 
   Securities available-for-sale1,157,399 1,157,399  1,148,125 9,274 
   Marketable equity securities10,936 10,936 5,955 4,981  
   Net loans3,639,099 3,626,632   3,626,632 
   Accrued interest receivable16,627 16,627 16,627   
   Derivative assets62,687 62,687  62,687  
Liabilities:
   Deposits4,420,076 4,439,585 3,119,785 1,319,800  
   Short-term debt279,866 279,866  279,866  
   Accrued interest payable2,047 2,047 2,047   
   Derivative liabilities63,020 63,020  63,020  
December 31, 2019     
Assets:     
   Cash and cash equivalents$140,144 $140,144 $140,144 $— $— 
   Securities available-for-sale810,106 810,106 — 800,400 9,706 
   Securities held-to-maturity49,036 50,598 — 50,598 — 
   Marketable equity securities12,634 12,634 7,787 4,847 — 
   Net loans3,604,510 3,574,435 — — 3,574,435 
   Accrued interest receivable11,569 11,569 11,569 — — 
   Derivative assets19,310 19,310 — 19,310 — 
Liabilities:
   Deposits4,075,894 4,094,493 2,711,323 1,383,170 — 
   Short-term debt211,255 211,255 — 211,255 — 
   Long-term debt4,056 4,124 — 4,124 — 
   Accrued interest payable2,849 2,849 2,849 — — 
   Derivative liabilities19,380 19,380 — 19,380 —