Annual report pursuant to Section 13 and 15(d)

FAIR VALUE MEASUREMENTS (Details 1)

v3.6.0.2
FAIR VALUE MEASUREMENTS (Details 1) - USD ($)
$ in Thousands
Dec. 31, 2016
Dec. 31, 2015
ASSETS:    
Investment Securities Available for Sale $ 522,734 $ 451,028
Level 1 Inputs [Member]    
ASSETS:    
Cash 48,268 51,288
Federal Funds Sold and Interest Bearing Deposits 247,779 327,617
Investment Securities Available for Sale 286,278 250,346
Investment Securities Held to Maturity 119,157 134,439
Loans Held for Sale 0 0
Loans, Net of Allowance for Loan Losses 0 0
LIABILITIES:    
Deposits 0 0
Short-Term Borrowings 0 0
Subordinated Notes Payable 0 0
Long-Term Borrowings 0 0
Level 2 Inputs [Member]    
ASSETS:    
Cash 0 0
Federal Funds Sold and Interest Bearing Deposits 0 0
Investment Securities Available for Sale 236,456 200,682
Investment Securities Held to Maturity 57,589 52,968
Loans Held for Sale 10,886 11,632
Loans, Net of Allowance for Loan Losses 0 0
LIABILITIES:    
Deposits 2,272,572 2,228,210
Short-Term Borrowings 12,802 64,947
Subordinated Notes Payable 42,024 49,230
Long-Term Borrowings 15,122 30,448
Fair Value, Inputs, Level 3 [Member]    
ASSETS:    
Cash 0 0
Federal Funds Sold and Interest Bearing Deposits 0 0
Investment Securities Available for Sale 0 0
Investment Securities Held to Maturity 0 0
Loans Held for Sale 0 0
Loans, Net of Allowance for Loan Losses 1,543,576 1,483,926
LIABILITIES:    
Deposits 0 0
Short-Term Borrowings 0 0
Subordinated Notes Payable 0 0
Long-Term Borrowings 0 0
Carrying (Reported) Amount, Fair Value Disclosure [Member]    
ASSETS:    
Cash 48,268 51,288
Federal Funds Sold and Interest Bearing Deposits 247,779 327,617
Investment Securities Available for Sale 522,734 451,028
Investment Securities Held to Maturity 177,365 187,892
Loans Held for Sale 10,886 11,632
Loans, Net of Allowance for Loan Losses 1,547,858 1,478,322
LIABILITIES:    
Deposits 2,412,286 2,302,849
Short-Term Borrowings 12,749 61,058
Subordinated Notes Payable 52,887 62,887
Long-Term Borrowings $ 14,881 $ 28,265