XML 30 R31.htm IDEA: XBRL DOCUMENT v2.4.0.6
Business Combinations (Summary Of Consideration Paid, Assets Acquired And The Liabilities Assumed, Recorded At Fair Value) (Details) (USD $)
In Thousands, unless otherwise specified
Sep. 30, 2012
Aug. 10, 2012
Dec. 31, 2011
Fair value of total consideration paid:      
Cash consideration paid at closing to Border Trust   $ 133  
Fair value of identifiable assets acquired:      
Fair value of identifiable assets acquired   40,833  
Fair value of liabilities assumed:      
Fair value of liabilities assumed   42,773  
Fair value of net identifiable assets acquired   1,940  
Goodwill 5,231   3,158
Cash and Cash Equivalents [Member]
     
Fair value of identifiable assets acquired:      
Fair value of identifiable assets acquired   1,330  
Securities [Member]
     
Fair value of identifiable assets acquired:      
Fair value of identifiable assets acquired   3,537  
Federal Home Loan Bank Common stock [Member]
     
Fair value of identifiable assets acquired:      
Fair value of identifiable assets acquired   770  
Loans [Member]
     
Fair value of identifiable assets acquired:      
Fair value of identifiable assets acquired   33,606  
Premises And Equipment [Member]
     
Fair value of identifiable assets acquired:      
Fair value of identifiable assets acquired   563  
Core deposit intangible [Member]
     
Fair value of identifiable assets acquired:      
Fair value of identifiable assets acquired 770 783  
Other Assets [Member]
     
Fair value of identifiable assets acquired:      
Fair value of identifiable assets acquired   244  
Deposits [Member]
     
Fair value of liabilities assumed:      
Fair value of liabilities assumed   38,520  
Borrowings [Member]
     
Fair value of liabilities assumed:      
Fair value of liabilities assumed   3,776  
Other Liabilities [Member]
     
Fair value of liabilities assumed:      
Fair value of liabilities assumed   477  
Border Trust Company [Member]
     
Fair value of liabilities assumed:      
Goodwill   $ 2,073