Quarterly report pursuant to Section 13 or 15(d)

FAIR VALUE MEASUREMENTS (Tables)

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FAIR VALUE MEASUREMENTS (Tables)
9 Months Ended
Sep. 30, 2015
Fair Value Measurements Tables  
Schedule of financial assets and financial liabilities measured at fair value on a recurring basis

A summary of fair values for assets and liabilities consisted of the following:

 

 

(Dollars in Thousands)

 

Level 1
Inputs

  Level 2
Inputs
  Level 3
Inputs
  Total Fair
Value
September 30, 2015                                
ASSETS:                                
Securities Available for Sale:                                
   U.S. Treasury   $ 243,989     $ —       $ —       $ 243,989  
   U.S. Government Agency     —         105,076       —         105,076  
   States and Political Subdivisions     —         84,240       —         84,240  
   Mortgage-Backed Securities     —         2,071       —         2,071  
   Equity Securities     —         8,695       —         8,695  
LIABILITIES:                                
                                 
December 31, 2014                                
ASSETS:                                
Securities Available for Sale:                                
   U.S. Treasury   $ 186,031     $ —       $ —       $ 186,031  
   U.S. Government Agency     —         96,097       —         96,097  
   State and Political Subdivisions     —         48,388       —         48,388  
   Mortgage-Backed Securities     —         2,287       —         2,287  
   Equity Securities     —         8,745       —         8,745
Schedule of financial instruments with estimated fair values

A summary of estimated fair values of significant financial instruments consisted of the following:

 

 

    September 30, 2015
(Dollars in Thousands)  

Carrying
Value

  Level 1
Inputs
  Level 2
Inputs
  Level 3
Inputs
ASSETS:                                
Cash   $ 42,917     $ 42,917     $ —       $ —    
Federal Funds Sold and Interest Bearing Deposits     167,787       167,787       —         —    
Investment Securities, Available for Sale     444,071       243,989       200,082       —    
Investment Securities, Held to Maturity     193,964       135,427       59,413       —    
Loans Held for Sale     10,960       —         10,960       —    
Loans, Net of Allowance for Loan Losses     1,460,446       —         —         1,473,849  
                                 
LIABILITIES:                                
Deposits   $ 2,114,983     $ —       $ 2,065,792     $ —    
Short-Term Borrowings     65,355       —         65,601       —    
Subordinated Notes Payable     62,887       —         45,850       —    
Long-Term Borrowings     29,042       —         29,794       —    

 

    December 31, 2014
(Dollars in Thousands)  

Carrying
Value

  Level 1
Inputs
  Level 2
Inputs
  Level 3
Inputs
ASSETS:                                
Cash   $ 55,467     $ 55,467     $ —       $ —    
Federal Funds Sold and Interest Bearing Deposits     329,589       329,589       —         —    
Investment Securities, Available for Sale     341,548       186,031       155,517       —    
Investment Securities, Held to Maturity     163,581       76,317       87,095       —    
Loans Held for Sale     10,688       —         10,688          
Loans, Net of Allowance for Loan Losses     1,413,835       —         —         1,369,314  
                                 
LIABILITIES:                                
Deposits   $ 2,146,794     $ —       $ 2,146,510     $ —    
Short-Term Borrowings     49,425       —         48,760       —    
Subordinated Notes Payable     62,887       —         62,887       —    
Long-Term Borrowings     31,097       —         32,313       —