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OTHER BORROWINGS (Tables)
6 Months Ended
Jun. 30, 2014
Banking and Thrift [Abstract]  
Schedule of other borrowings

Other borrowings consist of the following obligations at June 30, 2014, and December 31, 2013:

 

($000s)   June 30, 2014     December 31, 2013  
                 
Federal funds purchased   $ 2,539     $  
Short-term repurchase agreements     5,520       5,441  
Bank stock term loan     1,000       1,500  
Wholesale structured repurchase agreements     13,500       13,500  
                 
Total other borrowings   $ 22,559     $ 20,441  

  

The following information relates to securities sold under repurchase agreements and other borrowings:

 

    Three months ended   Six months ended
    June 30,   June 30,
($000s)     2014       2013       2014       2013  
                                 
As of end of period – weighted average rate     2.79%       2.99%       2.79%       2.99%  
For the period:                                
Highest month-end balance   $ 22,559     $ 22,431     $ 22,559     $ 23,129  
Daily average balance   $ 20,641     $ 23,769     $ 20,584     $ 22,299  
Weighted average rate     3.01%       2.83%       3.04%       2.94%