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Fair values of Financial Instruments (Tables)
12 Months Ended
Dec. 31, 2012
Fair Values of Financial Instruments [Abstract]  
Carrying amounts and fair values of the Company's financial instruments

Financial liabilities for which the fair value approximates carrying value include non-maturity deposits, short-term borrowings and accrued interest payable.

 

                                         
     Carrying
Amount
    Estimated
Fair Value
    Level
1
Inputs
    Fair Value
Measurements
Level 2 Inputs
    Level 3
Inputs
 

(dollars in thousands)

                                       

December 31, 2012

                                       

Financial assets:

                                       

Securities held-to-maturity

  $ 275,507     $ 281,924     $     $ 281,924     $  

Loans(1)

    1,092,591       1,124,716                   1,124,716  

Financial liabilities:

                                       

\Time deposits

    419,983       424,253             424,253        

Other borrowed funds

    195,144       205,481             205,481        

Subordinated debentures

    36,083       43,423                   43,423  

December 31, 2011

                                       

Financial assets:

                                       

Securities held-to-maturity

    179,368       184,822             184,822        

Loans(1)

    967,918       1,018,822                   1,018,822  

Financial liabilities:

                                       

Time deposits

    433,501       439,711             439,711        

Other borrowed funds

    244,143       258,165             258,165        

Subordinated debentures

    36,083       43,063                   43,063  

(1) Comprised of loans (including collateral dependent impaired loans), net of deferred loan costs and the allowance for loan losses.