Securities (Tables)
|
6 Months Ended |
Jun. 30, 2015 |
Cash and Cash Equivalents [Abstract] |
|
Securities Available for Sale |
Securities available for
sale at June 30, 2015 and December 31, 2014 are as
follows:
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June 30,
2015 |
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December 31, 2014 |
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Amortized |
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Unrealized |
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Fair |
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Amortized |
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Unrealized |
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Fair |
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Cost |
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Gains |
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Losses |
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Value |
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Cost |
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Gains |
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Losses |
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|
Value |
|
U.S. Gov’t sponsored
entities
|
|
$ |
151,385 |
|
|
$ |
2,176 |
|
|
$ |
(1,691 |
) |
|
$ |
151,870 |
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$ |
155,482 |
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$ |
2,301 |
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|
$ |
(2,219 |
) |
|
$ |
155,564 |
|
State & political
subdivisions
|
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|
177,405 |
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5,489 |
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(764 |
) |
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182,130 |
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174,600 |
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6,804 |
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(402 |
) |
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181,002 |
|
Residential &
multi-family mortgage
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231,535 |
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|
1,496 |
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(4,312 |
) |
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228,719 |
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265,678 |
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2,291 |
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(2,805 |
) |
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265,164 |
|
Corporate notes &
bonds
|
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20,792 |
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|
193 |
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(1,223 |
) |
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19,762 |
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|
20,791 |
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|
139 |
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(1,500 |
) |
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|
19,430 |
|
Pooled trust
preferred
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|
800 |
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|
360 |
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0 |
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1,160 |
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|
800 |
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|
105 |
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0 |
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|
905 |
|
Pooled SBA
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55,428 |
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831 |
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(892 |
) |
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55,367 |
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63,139 |
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1,074 |
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(1,560 |
) |
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62,653 |
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Other securities
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1,020 |
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0 |
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(19 |
) |
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1,001 |
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1,020 |
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0 |
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(18 |
) |
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1,002 |
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Total
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$ |
638,365 |
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$ |
10,545 |
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$ |
(8,901 |
) |
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$ |
640,009 |
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$ |
681,510 |
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$ |
12,714 |
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$ |
(8,504 |
) |
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$ |
685,720 |
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Trading Securities |
Trading securities at
June 30, 2015 and December 31, 2014 are as
follows:
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June 30,
2015 |
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December 31,
2014 |
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Corporate equity
securities
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|
$ |
3,257 |
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$ |
3,044 |
|
Mutual funds
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|
1,048 |
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|
997 |
|
Certificates of
deposit
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|
255 |
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253 |
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Corporate notes and
bonds
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|
155 |
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|
157 |
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U.S. Government sponsored
entities
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54 |
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54 |
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Total
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$ |
4,769 |
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$ |
4,505 |
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Securities with Unrealized Losses Aggregated by Investment Category and Length of Time that Individual Securities have been in Continuous Unrealized Loss Position |
Securities with unrealized
losses at June 30, 2015 and December 31, 2014, aggregated
by investment category and length of time that individual
securities have been in a continuous unrealized loss position, are
as follows (in thousands):
June 30,
2015
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Less than 12
Months |
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12 Months or
More |
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Total |
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Description of
Securities
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Fair
Value |
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Unrealized
Loss |
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Fair
Value |
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Unrealized
Loss |
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Fair
Value |
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Unrealized
Loss |
|
U.S. Gov’t sponsored
entities
|
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$ |
51,164 |
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$ |
(825 |
) |
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$ |
55,559 |
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$ |
(866 |
) |
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$ |
106,723 |
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$ |
(1,691 |
) |
State & political
subdivisions
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43,017 |
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(637 |
) |
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4,285 |
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(127 |
) |
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47,302 |
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(764 |
) |
Residential &
multi-family mortgage
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106,961 |
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(2,338 |
) |
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58,665 |
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(1,974 |
) |
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165,626 |
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(4,312 |
) |
Corporate notes &
bonds
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5,010 |
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(24 |
) |
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8,210 |
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(1,199 |
) |
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13,220 |
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(1,223 |
) |
Pooled SBA
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3,122 |
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(16 |
) |
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28,724 |
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(876 |
) |
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31,846 |
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(892 |
) |
Other securities
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0 |
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0 |
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1,001 |
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(19 |
) |
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1,001 |
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(19 |
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$ |
209,274 |
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$ |
(3,840 |
) |
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$ |
157,604 |
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$ |
(5,061 |
) |
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$ |
366,878 |
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$ |
(8,901 |
) |
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December 31,
2014
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Less than 12
Months |
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12 Months or
More |
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Total |
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Description of
Securities
|
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Fair
Value |
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Unrealized
Loss |
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Fair
Value |
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|
Unrealized
Loss |
|
|
Fair
Value |
|
|
Unrealized
Loss |
|
U.S. Gov’t sponsored
entities
|
|
$ |
26,069 |
|
|
$ |
(149 |
) |
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$ |
85,016 |
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$ |
(2,070 |
) |
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$ |
111,085 |
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$ |
(2,219 |
) |
State & political
subdivisions
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16,398 |
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(179 |
) |
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12,363 |
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(223 |
) |
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28,761 |
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(402 |
) |
Residential &
multi-family mortgage
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70,360 |
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(603 |
) |
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99,397 |
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(2,202 |
) |
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169,757 |
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(2,805 |
) |
Corporate notes &
bonds
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5,008 |
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(30 |
) |
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7,935 |
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(1,470 |
) |
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12,943 |
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(1,500 |
) |
Pooled SBA
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0 |
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(0 |
) |
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34,608 |
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(1,560 |
) |
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34,608 |
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(1,560 |
) |
Other securities
|
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0 |
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(0 |
) |
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|
1,002 |
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(18 |
) |
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1,002 |
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(18 |
) |
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$ |
117,835 |
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$ |
(961 |
) |
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$ |
240,321 |
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$ |
(7,543 |
) |
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$ |
358,156 |
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$ |
(8,504 |
) |
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Roll-Forward of Other-Than-Temporary Impairment Amount Related to Credit Losses |
A roll-forward of the
other-than-temporary impairment amount related to credit losses for
the three and six months ended June 30, 2015 and 2014 is as
follows:
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Balance of credit losses on
debt securities for which a portion of other-than-temporary
impairment was recognized in earnings, beginning of
period
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$ |
4,054 |
|
Additional credit loss for
which other-than-temporary impairment was not previously
recognized
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|
0 |
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Additional credit loss for
which other-than-temporary impairment was previously
recognized
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0 |
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Balance of credit losses on
debt securities for which a portion of other-than-temporary
impairment was recognized in earnings, end of period
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$ |
4,054 |
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Information Pertaining to Security Sales on Available for Sale Securities |
Information pertaining to
security sales on available for sale securities is as
follows:
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Proceeds |
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Gross Gains |
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Gross Losses |
|
Three months ended
June 30, 2015
|
|
$ |
15,580 |
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$ |
472 |
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$ |
0 |
|
Six months ended
June 30, 2015
|
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|
48,529 |
|
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|
608 |
|
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|
(117 |
) |
Three months ended
June 30, 2014
|
|
|
16,177 |
|
|
|
138 |
|
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|
0 |
|
Six months ended
June 30, 2014
|
|
|
29,128 |
|
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|
287 |
|
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|
(83 |
) |
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Schedule of Contractual Maturity of Securities Available for Sale, Excluding Equity Securities |
The following is a schedule
of the contractual maturity of securities available for sale,
excluding equity securities, at June 30, 2015:
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Amortized
Cost |
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|
Fair Value |
|
1 year or less
|
|
$ |
27,693 |
|
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$ |
27,850 |
|
1 year – 5
years
|
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|
188,690 |
|
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|
192,742 |
|
5 years – 10
years
|
|
|
101,883 |
|
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|
102,322 |
|
After 10 years
|
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|
32,116 |
|
|
|
32,008 |
|
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|
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|
|
|
|
|
|
|
|
|
350,382 |
|
|
|
354,922 |
|
Residential and
multi-family mortgage
|
|
|
231,535 |
|
|
|
228,719 |
|
Pooled SBA
|
|
|
55,428 |
|
|
|
55,367 |
|
|
|
|
|
|
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|
Total debt
securities
|
|
$ |
637,345 |
|
|
$ |
639,008 |
|
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