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INVESTMENT SECURITIES (Details) (USD $)
12 Months Ended
Dec. 31, 2013
Position
Dec. 31, 2012
Position
Carrying value and fair value of available for sale investment securities [Abstract]    
Amortized cost $ 313,852,000 $ 343,879,000
Gross unrealized gains 4,568,000 6,270,000
Gross unrealized losses (9,693,000) (946,000)
Gross unrealized losses, Non-credit related OTTI in AOCI 0 0
Fair value 308,727,000 349,203,000
Decrease in investment portfolio (40,500,000)  
Amortized cost [Abstract]    
Within 1 year 11,806,000  
After 1 but within 5 years 6,432,000  
After 5 but within 10 years 33,519,000  
After 10 years 33,282,000  
Mortgage-backed securities-residential 32,769,000  
Collateralized mortgage obligations Issued or guaranteed by U.S. government agencies 188,194,000  
Collateralized mortgage obligations Non-agency 4,454,000  
Total available for sale debt securities 310,456,000  
No contractual maturity 3,396,000  
Total available for sale securities 313,852,000  
Fair value [Abstract]    
Within 1 year 10,257,000  
After 1 but within 5 years 6,359,000  
After 5 but within 10 years 31,246,000  
After 10 years 30,512,000  
Mortgage-backed securities residential 32,097,000  
Collateralized mortgage obligations issued or guaranteed by U.S. government agencies 189,103,000  
Collateralized mortgage obligations Non-agency 4,479,000  
Total available for sale debt securities 304,053,000  
No contractual maturity 4,674,000  
Total available for sale securities 308,727,000  
Proceeds from sales of AFS investment securities 31,046,000 28,246,000
Gross realized gains and losses on the sale of securities recognized in earnings [Abstract]    
Gross realized gains 416,000 1,211,000
Gross realized losses (258,000) (181,000)
Net realized gains 158,000 1,030,000
Available-for-sale securities pledged as collateral 70,400,000  
Available for sale securities, continuous unrealized loss position [Abstract]    
Less than 12 months, Fair value 142,071,000 83,086,000
12 months or longer, Fair value 33,664,000 6,053,000
Total, Fair value 175,735,000 89,139,000
Less than 12 months, Gross unrealized losses (7,322,000) (789,000)
12 months or longer, Gross unrealized losses (2,371,000) (157,000)
Total, Gross unrealized losses (9,693,000) (946,000)
Less than 12 months, Number of positions 54 33
12 months or longer, Number of positions 17 5
Total, Number of positions 71 38
Percentage of negatively impact on market value of securities (in hundredths) 72.00%  
Period of treasury yield 10 years  
Percentage of treasury yield (in hundredths) 3.03% 1.76%
Gain recorded by common stock investment sold   112,000
Other than Temporary Impairment Losses, Investments, Available-for-sale Securities [Abstract]    
Balance at beginning of year 173,000 173,000
Reductions for securities sold during the period (realized) (173,000) 0
Balance at end of year 0 173,000
Credit related impairment losses on debt securities held for which a portion of OTTI was recognized in other comprehensive income [Roll Forward]    
Other than temporary impairment losses on securities recognized in earnings 0 2,359,000
U.S. Government Agencies [Member]
   
Carrying value and fair value of available for sale investment securities [Abstract]    
Amortized cost 68,207,000 66,371,000
Gross unrealized gains 0 151,000
Gross unrealized losses (6,171,000) (78,000)
Gross unrealized losses, Non-credit related OTTI in AOCI 0 0
Fair value 62,036,000 66,444,000
Available for sale securities, continuous unrealized loss position [Abstract]    
Less than 12 months, Fair value 48,919,000 23,818,000
12 months or longer, Fair value 12,267,000 0
Total, Fair value 61,186,000 23,818,000
Less than 12 months, Gross unrealized losses (5,035,000) (78,000)
12 months or longer, Gross unrealized losses (1,136,000) 0
Total, Gross unrealized losses (6,171,000) (78,000)
Less than 12 months, Number of positions 16 8
12 months or longer, Number of positions 5 0
Total, Number of positions 21 8
Increase in gross unrealized losses from year to year 6,200,000  
Mortgage-backed Securities-residential [Member]
   
Carrying value and fair value of available for sale investment securities [Abstract]    
Amortized cost 32,769,000 30,038,000
Gross unrealized gains 210,000 518,000
Gross unrealized losses (882,000) (47,000)
Gross unrealized losses, Non-credit related OTTI in AOCI 0 0
Fair value 32,097,000 30,509,000
Available for sale securities, continuous unrealized loss position [Abstract]    
Less than 12 months, Fair value 18,045,000 7,280,000
12 months or longer, Fair value 6,276,000 0
Total, Fair value 24,321,000 7,280,000
Less than 12 months, Gross unrealized losses (518,000) (47,000)
12 months or longer, Gross unrealized losses (364,000) 0
Total, Gross unrealized losses (882,000) (47,000)
Less than 12 months, Number of positions 7 2
12 months or longer, Number of positions 2 0
Total, Number of positions 9 2
Increase in gross unrealized losses from year to year 835,000  
Collateralized Mortgage Obligations, Issued or Guaranteed by U.S. Government Agencies [Member]
   
Carrying value and fair value of available for sale investment securities [Abstract]    
Amortized cost 188,194,000 229,556,000
Gross unrealized gains 2,887,000 5,031,000
Gross unrealized losses (1,978,000) (611,000)
Gross unrealized losses, Non-credit related OTTI in AOCI 0 0
Fair value 189,103,000 233,976,000
Available for sale securities, continuous unrealized loss position [Abstract]    
Less than 12 months, Fair value 67,240,000 44,937,000
12 months or longer, Fair value 9,974,000 3,975,000
Total, Fair value 77,214,000 48,912,000
Less than 12 months, Gross unrealized losses (1,446,000) (592,000)
12 months or longer, Gross unrealized losses (532,000) (19,000)
Total, Gross unrealized losses (1,978,000) (611,000)
Less than 12 months, Number of positions 21 15
12 months or longer, Number of positions 3 2
Total, Number of positions 24 17
Increase in gross unrealized losses from year to year 1,400,000  
Collateralized Mortgage Obligations, Non-agency [Member]
   
Carrying value and fair value of available for sale investment securities [Abstract]    
Amortized cost 4,454,000 1,007,000
Gross unrealized gains 25,000 4,000
Gross unrealized losses 0 0
Gross unrealized losses, Non-credit related OTTI in AOCI 0 0
Fair value 4,479,000 1,011,000
Available for sale securities, continuous unrealized loss position [Abstract]    
Number of securities with unrealized gains 2  
Corporate Bonds [Member]
   
Carrying value and fair value of available for sale investment securities [Abstract]    
Amortized cost 9,669,000 7,477,000
Gross unrealized gains 25,000 32,000
Gross unrealized losses (256,000) (72,000)
Gross unrealized losses, Non-credit related OTTI in AOCI 0 0
Fair value 9,438,000 7,437,000
Available for sale securities, continuous unrealized loss position [Abstract]    
Less than 12 months, Fair value 4,848,000 2,165,000
12 months or longer, Fair value 965,000 941,000
Total, Fair value 5,813,000 3,106,000
Less than 12 months, Gross unrealized losses (221,000) (13,000)
12 months or longer, Gross unrealized losses (35,000) (59,000)
Total, Gross unrealized losses (256,000) (72,000)
Less than 12 months, Number of positions 5 2
12 months or longer, Number of positions 1 1
Total, Number of positions 6 3
Number of securities at or above investment grade 6  
Municipal Bonds [Member]
   
Carrying value and fair value of available for sale investment securities [Abstract]    
Amortized cost 7,163,000 5,645,000
Gross unrealized gains 0 0
Gross unrealized losses (263,000) (30,000)
Gross unrealized losses, Non-credit related OTTI in AOCI 0 0
Fair value 6,900,000 5,615,000
Available for sale securities, continuous unrealized loss position [Abstract]    
Less than 12 months, Fair value 3,019,000 4,597,000
12 months or longer, Fair value 3,881,000 882,000
Total, Fair value 6,900,000 5,479,000
Less than 12 months, Gross unrealized losses (102,000) (21,000)
12 months or longer, Gross unrealized losses (161,000) (9,000)
Total, Gross unrealized losses (263,000) (30,000)
Less than 12 months, Number of positions 5 5
12 months or longer, Number of positions 4 1
Total, Number of positions 9 6
Common Stocks [Member]
   
Carrying value and fair value of available for sale investment securities [Abstract]    
Amortized cost 33,000 33,000
Gross unrealized gains 16,000 14,000
Gross unrealized losses 0 0
Gross unrealized losses, Non-credit related OTTI in AOCI 0 0
Fair value 49,000 47,000
Available for sale securities, continuous unrealized loss position [Abstract]    
Number of securities with unrealized gains 2  
Number of investment securities sold   1
Other Securities [Member]
   
Carrying value and fair value of available for sale investment securities [Abstract]    
Amortized cost 3,363,000 3,752,000
Gross unrealized gains 1,405,000 520,000
Gross unrealized losses (143,000) (108,000)
Gross unrealized losses, Non-credit related OTTI in AOCI 0 0
Fair value 4,625,000 4,164,000
Available for sale securities, continuous unrealized loss position [Abstract]    
Less than 12 months, Fair value 0 289,000
12 months or longer, Fair value 301,000 255,000
Total, Fair value 301,000 544,000
Less than 12 months, Gross unrealized losses 0 (38,000)
12 months or longer, Gross unrealized losses (143,000) (70,000)
Total, Gross unrealized losses (143,000) (108,000)
Less than 12 months, Number of positions 0 1
12 months or longer, Number of positions 2 1
Total, Number of positions 2 2
Number of securities invested in real estate funds 7  
Number of securities considered not to be other than temporarily impaired 2  
Number of securities recording an impairment charge   2
Impairment charges on private equity funds   1,500,000
Credit related impairment charge on private equity fund   859,000
Credit related impairment losses on debt securities held for which a portion of OTTI was recognized in other comprehensive income [Roll Forward]    
Other than temporary impairment losses on securities recognized in earnings $ 0 $ 2,359,000