XML 55 R42.htm IDEA: XBRL DOCUMENT v3.7.0.1
Securities (Narrative) (Details)
$ in Thousands
6 Months Ended
Jun. 30, 2017
USD ($)
security
Dec. 31, 2016
USD ($)
security
Schedule of Available for Sale and Held to Maturty Securities [Line Items]    
Fair value of available for sale and held to maturity securities pledged as collateral $ 670,400 $ 736,200
Amortized cost of callable debt securities 167,800  
Fair value of callable debt securities $ 163,600  
Number of securities in a continuous unrealized loss position total | security 58 57
Individual name issuer trust preferred debt securities    
Schedule of Available for Sale and Held to Maturty Securities [Line Items]    
Number of securities in a continuous unrealized loss position total | security 9 10
Securities in unrealized loss position, number of companies issuing securities | security 6  
Amortized cost of trust preferred securities of individual name issuers that are below investment grade $ 10,900  
Unrealized losses of trust preferred securities of individual name issuers that are below investment grade $ (663)  
Minimum [Member]    
Schedule of Available for Sale and Held to Maturty Securities [Line Items]    
Maturity period of callable debt securities 11 months  
Call features of callable debt securities 1 month  
Maximum [Member]    
Schedule of Available for Sale and Held to Maturty Securities [Line Items]    
Maturity period of callable debt securities 20 years  
Call features of callable debt securities 4 years