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Fair Value Measurement (Tables)
12 Months Ended
Dec. 31, 2016
Fair Value Disclosures [Abstract]  
Assets Measured at Fair Value

Assets measured at fair value are summarized below.

Fair Value Measurements at December 31, 2016 Using:

 

     (Level 1)      (Level 2)      (Level 3)  

Assets measured at fair value on a recurring basis:

        

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

   $ —        $ 37,446      $ —    

Obligations of states and political subdivisions

     —          94,998        —    

Mortgage-backed securities in government sponsored entities

     —          62,642        —    

Equity securities in financial institutions

     —          778        —    

Fair value swap asset

     —          —          1,839  

Liabilities measured at fair value on a recurring basis:

        

Fair value swap liability

     —          —          1,839  

Assets measured at fair value on a nonrecurring basis:

        

Impaired Loans

   $ —        $ —        $ 952  

Other Real Estate Owned

     —          —          37  

 

Fair Value Measurements at December 31, 2015 Using:

 

     (Level 1)      (Level 2)      (Level 3)  

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        —    

Fair value swap asset

     —          —          1,962  

Liabilities measured at fair value on a recurring basis:

        

Fair value 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 tables 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, 2016 and 2015.

 

     Quantitative Information about Level 3 Fair Value Measurements
December 31, 2016    Fair Value      Valuation Technique      Unobservable Input    Range    Weighted
Average

Impaired loans

     $952        Appraisal of collateral      Appraisal adjustments    10% - 67%    64%
         Liquidation expense    0% - 10%    4%
         Holding period    0 - 30 months    19 months

Other real estate owned

     $37        Appraisal of collateral      Appraisal adjustments    10% - 30%    10%
         Liquidation expense    0% - 10%    10%

 

     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 Value of Financial Instruments

The carrying amount and fair value of financial instruments were as follows:

 

December 31, 2016    Carrying
Amount
     Total
Fair Value
     Level 1      Level 2      Level 3  

Financial Assets:

              

Cash and due from financial institutions

   $ 36,695      $ 36,695      $ 36,695      $ —        $ —    

Securities available for sale

     195,864        195,864        —          195,864        —    

Loans, held for sale

     2,268        2,268        2,268        —          —    

Loans, net of allowance for loan losses

     1,042,201        1,047,329        —          —          1,047,329  

Other securities

     14,055        14,055        14,055        —          —    

Bank owned life insurance

     24,552        24,552        24,552        —          —    

Accrued interest receivable

     3,854        3,854        3,854        —          —    

Swap asset

     1,839        1,839        —          1,839        —    

Financial Liabilities:

              

Nonmaturing deposits

     913,677        913,677        913,677        —          —    

Time deposits

     207,426        207,784        —          —          207,784  

Short-term FHLB advances

     31,000        31,007        31,007        —          —    

Long-term FHLB advances

     17,500        17,553        —          —          17,553  

Securities sold under agreement to repurchase

     28,925        28,925        28,925        —          —    

Subordinated debentures

     29,427        27,414        —          —          27,414  

Accrued interest payable

     181        181        181        —          —    

Swap liability

     1,839        1,839        —          1,839        —    

 

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        —