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FAIR VALUE (Tables)
12 Months Ended
Dec. 31, 2014
Fair Value Disclosures [Abstract]  
Financial assets and Liabilities at Dates Indicated that were Accounted for at Fair Value
2014
Quoted Prices inSignificant
Active Markets forSignificant Other Unobservable
Identical Assets Observable Inputs Inputs
(In thousands) (Level 1) (Level 2)(Level 3)Total
Assets
Residential mortgage loans held for sale$-$10,512$-$10,512
Investments available-for-sale:
U.S. government agencies-141,679-141,679
State and municipal -167,052-167,052
Mortgage-backed-361,519-361,519
Trust preferred--1,2361,236
Marketable equity securities -723-723
Interest rate swap agreements-1,501-1,501
Liabilities
Interest rate swap agreements$-$(1,501)$-$(1,501)

2013
Quoted Prices inSignificant
Active Markets forSignificant Other Unobservable
Identical Assets Observable Inputs Inputs
(In thousands) (Level 1) (Level 2)(Level 3)Total
Assets
Residential mortgage loans held for sale$-$8,365$-$8,365
Investments available-for-sale:
U.S. government agencies-139,466-139,466
State and municipal -165,428-165,428
Mortgage-backed-442,250-442,250
Corporate debt-2,004-2,004
Trust preferred--1,4131,413
Marketable equity securities -723-723
Interest rate swap agreements-1,608-1,608
Liabilities
Interest rate swap agreements$-$(1,608)$-$(1,608)
Unrealized Losses Included in Assets Measured in Condensed Consolidated Statements of Condition at Fair Value on a Recurring Basis
Significant
Unobservable
Inputs
(In thousands)(Level 3)
Investments available-for-sale:
Balance at January 1, 2014$1,413
Principal redemption(352)
Total unrealized losses included in other comprehensive income (loss)175
Balance at December 31, 2014$1,236
Assets Measured at Fair Value on Nonrecurring Basis
2014
Quoted Prices in Significant
Active MarketsOther Significant
for IdenticalObservable Unobservable
(In thousands)Assets (Level 1)Inputs (Level 2)Inputs (Level 3)TotalTotal Losses
Impaired loans (1)$-$-$7,819$7,819$13,893
Other real estate owned--3,1953,195(247)
Total$-$-$11,014$11,014$13,646
(1) Amounts represent the fair value of collateral for impaired loans allocated to the allowance for loan and lease losses. Fair values are determined using actual market prices
(Level 2), independent third party valuations and borrower records, discounted as appropriate (Level 3).

2013
Quoted Prices in Significant
Active MarketsOther Significant
for IdenticalObservable Unobservable
(In thousands)Assets (Level 1)Inputs (Level 2)Inputs (Level 3)TotalTotal Losses
Impaired loans (1)$-$-$11,011$11,011$17,655
Other real estate owned--1,3381,338(309)
Total$-$-$12,349$12,349$17,346
(1) Amounts represent the fair value of collateral for impaired loans allocated to the allowance for loan and lease losses. Fair values are determined using actual market prices
(Level 2), independent third party valuations and borrower records, discounted as appropriate (Level 3).
Carrying Amounts And Fair Values of Company's Financial Instruments
Fair Value Measurements
2014Quoted Prices in
EstimatedActive Markets forSignificant OtherSignificant
CarryingFairIdentical AssetsObservable InputsUnobservable Inputs
(In thousands)AmountValue(Level 1)(Level 2)(Level 3)
Financial Assets
Investments held-to-maturity and other equity securities$261,410$263,697$-$263,697$-
Loans, net of allowance3,089,5903,118,635--3,118,635
Other assets88,65788,657-88,657-
Financial Liabilities
Time Deposits$444,922$444,729$-$444,729$-
Securities sold under retail repurchase agreements and
federal funds purchased74,43274,432-74,432-
Advances from FHLB655,000679,163-679,163-
Subordinated debentures35,00013,276--13,276

Fair Value Measurements
2013Quoted Prices in
EstimatedActive Markets forSignificant OtherSignificant
CarryingFairIdentical AssetsObservable InputsUnobservable Inputs
(In thousands)AmountValue(Level 1)(Level 2)(Level 3)
Financial Assets
Investments held-to-maturity and other equity securities$265,325$256,694$-$256,694$-
Loans, net of allowance2,745,5002,692,877--2,692,877
Other assets86,21386,213-86,213-
Financial Liabilities
Time Deposits$465,737$465,392$-$465,392$-
Securities sold under retail repurchase agreements and
federal funds purchased53,84253,842-53,842-
Advances from FHLB615,000641,901-641,901-
Subordinated debentures35,00011,376--11,376