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Fair Value Measurement (Tables)
6 Months Ended
Jun. 30, 2016
Fair Value Disclosures [Abstract]  
Assets Measured at Fair Value

Assets measured at fair value are summarized below.

 

        Fair Value Measurements at June 30, 2016 Using:      
            (Level 1)                     (Level 2)                     (Level 3)          

Assets:

     

Assets measured at fair value on a recurring basis:

     

U.S. Treasury securities and obligations of U.S. Government agencies

  $ —        $ 41,578      $ —     

Obligations of states and political subdivisions

    —          95,218        —     

Mortgage-backed securities in government sponsored entities

    —          63,247        —     

Equity securities in financial institutions

    —          600        —     

Swap asset

    —          3,757        —     

Liabilities:

     

Swap liability

    —          3,757        —     

Assets measured at fair value on a nonrecurring basis:

     

Impaired loans

  $ —        $ —        $ 391   

Other real estate owned

    —          —          73   

 

        Fair Value Measurements at December 31, 2015 Using:      
            (Level 1)                     (Level 2)                     (Level 3)          

Assets:

     

Assets measured at fair value on a recurring basis:

     

U.S. Treasury securities and obligations of U.S. Government agencies

  $ —        $ 40,937      $ —     

Obligations of states and political subdivisions

    —          92,152        —     

Mortgage-backed securities in government sponsored entities

    —          62,573        —     

Equity securities in financial institutions

    —          587        —     

Swap asset

    —          1,962        —     

Liabilities:

     

Swap liability

    —          1,962        —     

Assets measured at fair value on a nonrecurring basis:

     

Impaired loans

  $ —        $ —        $ 759   

Other real estate owned

    —          —          109   

Quantitative Information about Level 3 Fair Value Measurements

The following table presents quantitative information about the Level 3 significant unobservable inputs for assets and liabilities measured at fair value on a nonrecurring basis at June 30, 2016.

 

     Quantitative Information about Level 3 Fair Value Measurements
June 30, 2016    Fair Value      Valuation Technique    Unobservable Input    Range    Weighted
Average

Impaired loans

   $ 391       Appraisal of collateral    Appraisal
adjustments
   10% - 30%    10%
         Liquidation expense    0% - 10%    10%
         Holding period    0 - 30 months    18 months

Other real estate owned

   $ 73       Appraisal of collateral    Appraisal
adjustments
   10% - 30%    10%
         Liquidation expense    0% - 10%    10%

The following table presents quantitative information about the Level 3 significant unobservable inputs for assets and liabilities measured at fair value on a nonrecurring basis at December 31, 2015.

 

     Quantitative Information about Level 3 Fair Value Measurements
December 31, 2015    Fair Value      Valuation Technique    Unobservable Input    Range    Weighted
Average

Impaired loans

   $ 759       Appraisal of collateral    Appraisal
adjustments
   10% - 30%    10%
         Liquidation expense    0% - 10%    10%
         Holding period    0 - 30 months    17 months

Other real estate owned

   $ 109       Appraisal of collateral    Appraisal
adjustments
   10% - 30%    10%
         Liquidation expense    0% - 10%    10%
Carrying Amount and Fair Values of Financial Instruments

The carrying amount and fair values of financial instruments are as follows:

 

June 30, 2016       Carrying    
Amount
    Total
    Fair Value    
        Level 1             Level 2             Level 3      

Financial Assets:

         

Cash and due from financial institutions

  $ 41,772      $ 41,772      $ 41,772      $ —        $ —     

Securities available for sale

    200,643        200,643        —          200,643        —     

Loans, held for sale

    5,167        5,167        5,167        —          —     

Loans, net of allowance for loan losses

    1,014,375        1,011,073        —          —          1,011,073   

Other securities

    13,734        13,734        13,734        —          —     

Bank owned life insurance

    24,255        24,255        24,255        —          —     

Accrued interest receivable

    3,798        3,798        3,798        —          —     

Swap asset

    3,757        3,757        —          3,757        —     

Financial Liabilities:

         

Nonmaturing deposits

    917,274        917,274        917,274        —          —     

Time deposits

    197,733        198,256        —          —          198,256   

Short-term FHLB advances

    29,800        29,471        29,471        —          —     

Long-term FHLB advances

    17,500        17,657        —          —          17,657   

Securities sold under agreement to repurchase

    17,725        17,725        17,725        —          —     

Subordinated debentures

    29,427        28,964        —          —          28,964   

Accrued interest payable

    121        121        121        —          —     

Swap liability

    3,757        3,757        —          3,757        —     

 

December 31, 2015       Carrying    
Amount
    Total
    Fair Value    
        Level 1             Level 2             Level 3      

Financial Assets:

         

Cash and due from financial institutions

  $ 35,561      $ 35,561      $ 35,561      $ —        $ —     

Securities available for sale

    196,249        196,249        —          196,249        —     

Loans, held for sale

    2,698        2,698        2,698        —          —     

Loans, net of allowance for loan losses

    987,166           986,848        —          —             986,848   

Other securities

    13,452        13,452        13,452        —          —     

Bank owned life insurance

    20,104        20,104        20,104        —          —     

Accrued interest receivable

    3,902        3,902        3,902        —          —     

Swap asset

    1,962        1,962        —          1,962        —     

Financial Liabilities:

         

Nonmaturing deposits

    840,984        840,984        840,984        —          —     

Time deposits

    211,049        212,006        —          —          212,006   

Short-term FHLB advances

    53,700        52,906        52,906        —          —     

Long-term FHLB advances

    17,500        17,687        —          —          17,687   

Securities sold under agreement to repurchase

    25,040        25,040        25,040        —          —     

Subordinated debentures

    29,427        25,572        —          —          25,572   

Accrued interest payable

    120        120        120        —          —     

Swap liability

    1,962        1,962        —          1,962        —