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LOANS RECEIVABLE AND THE ALLOWANCE FOR LOAN LOSSES (Allowance for Credit Losses) (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2013
Jun. 30, 2012
Jun. 30, 2013
Jun. 30, 2012
Dec. 31, 2012
Financing Receivable, Allowance for Credit Losses [Roll Forward]          
Beginning balance $ 77,128 $ 81,544 $ 77,491 $ 82,912  
Provision for loan losses 0 4,000 0 9,000  
Recoveries 1,811 2,291 4,139 3,652  
Charge-offs (2,086) (7,614) (4,777) (15,343)  
Ending balance 76,853 80,221 76,853 80,221  
Financing Receivable, Allowance for Credit Loss, Additional Information [Abstract]          
Allowance individually evaluated for impairment 6,254 6,971 6,254 6,971  
Allowance collectively evaluated for impairment 70,599 73,250 70,599 73,250  
Total allowance for loan losses 76,853 80,221 76,853 80,221  
Loans individually evaluated for impairment 62,488 59,145 62,488 59,145  
Loans collectively evaluated for impairment 3,227,713 3,153,112 3,227,713 3,153,112  
Total loans outstanding 3,290,201 3,212,257 3,290,201 3,212,257 3,235,714
Commercial real estate [Member]
         
Financing Receivable, Allowance for Credit Losses [Roll Forward]          
Beginning balance 14,776 17,083 15,322 16,457  
Provision for loan losses 162 992 (1,622) 2,327  
Recoveries 378 18 1,964 632  
Charge-offs (418) (1,259) (766) (2,582)  
Ending balance 14,898 16,834 14,898 16,834  
Financing Receivable, Allowance for Credit Loss, Additional Information [Abstract]          
Allowance individually evaluated for impairment 750 400 750 400  
Allowance collectively evaluated for impairment 14,148 16,434 14,148 16,434  
Total allowance for loan losses 14,898 16,834 14,898 16,834  
Loans individually evaluated for impairment 10,647 9,468 10,647 9,468  
Loans collectively evaluated for impairment 1,086,061 1,082,118 1,086,061 1,082,118  
Total loans outstanding 1,096,708 1,091,586 1,096,708 1,091,586  
Multifamily [Member]
         
Financing Receivable, Allowance for Credit Losses [Roll Forward]          
Beginning balance 5,075 3,261 4,506 3,952  
Provision for loan losses (102) 1,847 467 1,156  
Recoveries 0 0 0 0  
Charge-offs 0 0 0 0  
Ending balance 4,973 5,108 4,973 5,108  
Financing Receivable, Allowance for Credit Loss, Additional Information [Abstract]          
Allowance individually evaluated for impairment 1,326 1,464 1,326 1,464  
Allowance collectively evaluated for impairment 3,647 3,644 3,647 3,644  
Total allowance for loan losses 4,973 5,108 4,973 5,108  
Loans individually evaluated for impairment 5,815 5,000 5,815 5,000  
Loans collectively evaluated for impairment 131,212 125,319 131,212 125,319  
Total loans outstanding 137,027 130,319 137,027 130,319  
Construction and Land [Member]
         
Financing Receivable, Allowance for Credit Losses [Roll Forward]          
Beginning balance 15,214 15,871 14,991 18,184  
Provision for loan losses 1,493 1,756 2,050 1,997  
Recoveries 337 1,050 438 1,420  
Charge-offs (419) (1,703) (854) (4,627)  
Ending balance 16,625 16,974 16,625 16,974  
Financing Receivable, Allowance for Credit Loss, Additional Information [Abstract]          
Allowance individually evaluated for impairment 1,955 2,739 1,955 2,739  
Allowance collectively evaluated for impairment 14,670 14,235 14,670 14,235  
Total allowance for loan losses 16,625 16,974 16,625 16,974  
Loans individually evaluated for impairment 12,723 11,594 12,723 11,594  
Loans collectively evaluated for impairment 340,961 282,283 340,961 282,283  
Total loans outstanding 353,684 293,877 353,684 293,877  
Commercial business [Member]
         
Financing Receivable, Allowance for Credit Losses [Roll Forward]          
Beginning balance 10,011 13,123 9,957 15,159  
Provision for loan losses 527 887 1,124 22  
Recoveries 666 639 1,052 875  
Charge-offs (398) (2,297) (1,327) (3,704)  
Ending balance 10,806 12,352 10,806 12,352  
Financing Receivable, Allowance for Credit Loss, Additional Information [Abstract]          
Allowance individually evaluated for impairment 216 1,054 216 1,054  
Allowance collectively evaluated for impairment 10,590 11,298 10,590 11,298  
Total allowance for loan losses 10,806 12,352 10,806 12,352  
Loans individually evaluated for impairment 2,818 10,514 2,818 10,514  
Loans collectively evaluated for impairment 637,022 589,532 637,022 589,532  
Total loans outstanding 639,840 600,046 639,840 600,046  
Agricultural business, including secured by farming [Member]
         
Financing Receivable, Allowance for Credit Losses [Roll Forward]          
Beginning balance 2,282 1,887 2,295 1,548  
Provision for loan losses 1,213 (608) 1,163 6  
Recoveries 310 15 347 15  
Charge-offs 0 0 0 (275)  
Ending balance 3,805 1,294 3,805 1,294  
Financing Receivable, Allowance for Credit Loss, Additional Information [Abstract]          
Allowance individually evaluated for impairment 0 0 0 0  
Allowance collectively evaluated for impairment 3,805 1,294 3,805 1,294  
Total allowance for loan losses 3,805 1,294 3,805 1,294  
Loans individually evaluated for impairment 0 0 0 0  
Loans collectively evaluated for impairment 233,967 211,705 233,967 211,705  
Total loans outstanding 233,967 211,705 233,967 211,705  
One To Four Family [Member]
         
Financing Receivable, Allowance for Credit Losses [Roll Forward]          
Beginning balance 15,930 12,869 16,475 12,299  
Provision for loan losses (557) 2,876 (567) 4,407  
Recoveries 3 374 119 379  
Charge-offs (402) (1,906) (1,053) (2,872)  
Ending balance 14,974 14,213 14,974 14,213  
Financing Receivable, Allowance for Credit Loss, Additional Information [Abstract]          
Allowance individually evaluated for impairment 1,923 1,281 1,923 1,281  
Allowance collectively evaluated for impairment 13,051 12,932 13,051 12,932  
Total allowance for loan losses 14,974 14,213 14,974 14,213  
Loans individually evaluated for impairment 29,419 20,989 29,419 20,989  
Loans collectively evaluated for impairment 523,279 586,500 523,279 586,500  
Total loans outstanding 552,698 607,489 552,698 607,489  
Consumer [Member]
         
Financing Receivable, Allowance for Credit Losses [Roll Forward]          
Beginning balance 1,238 1,274 1,348 1,253  
Provision for loan losses 105 345 221 1,064  
Recoveries 117 195 219 331  
Charge-offs (449) (449) (777) (1,283)  
Ending balance 1,011 1,365 1,011 1,365  
Financing Receivable, Allowance for Credit Loss, Additional Information [Abstract]          
Allowance individually evaluated for impairment 84 33 84 33  
Allowance collectively evaluated for impairment 927 1,332 927 1,332  
Total allowance for loan losses 1,011 1,365 1,011 1,365  
Loans individually evaluated for impairment 1,066 1,580 1,066 1,580  
Loans collectively evaluated for impairment 275,211 275,655 275,211 275,655  
Total loans outstanding 276,277 277,235 276,277 277,235  
Commitments and Unallocated [Member]
         
Financing Receivable, Allowance for Credit Losses [Roll Forward]          
Beginning balance 12,602 16,176 12,597 14,060  
Provision for loan losses (2,841) (4,095) (2,836) (1,979)  
Recoveries 0 0 0 0  
Charge-offs 0 0 0 0  
Ending balance 9,761 12,081 9,761 12,081  
Financing Receivable, Allowance for Credit Loss, Additional Information [Abstract]          
Allowance individually evaluated for impairment 0 0 0 0  
Allowance collectively evaluated for impairment 9,761 12,081 9,761 12,081  
Total allowance for loan losses 9,761 12,081 9,761 12,081  
Loans individually evaluated for impairment 0 0 0 0  
Loans collectively evaluated for impairment 0 0 0 0  
Total loans outstanding $ 0 $ 0 $ 0 $ 0