Quarterly report pursuant to Section 13 or 15(d)

FAIR VALUE MEASUREMENTS (Details2)

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FAIR VALUE MEASUREMENTS (Details2) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2012
Dec. 31, 2011
ASSETS:    
Short-Term Investments $ 434,814 $ 330,361
LIABILITIES:    
Deposits 2,150,386 2,172,519
Subordinated Notes Payable 62,887 62,887
Carrying Amount
   
ASSETS:    
Cash 57,477 54,953
Short-Term Investments 434,814 330,361
Investment Securities 280,753 307,149
Loans, Net of Allowance for Loan Losses 1,526,307 1,597,648
LIABILITIES:    
Deposits 2,150,386 2,172,519
Short-Term Borrowings 69,449 43,372
Subordinated Notes Payable 62,887 62,887
Long-Term Borrowings 38,846 44,606
Fair Value | Level 1 Inputs
   
ASSETS:    
Cash 57,477 54,953
Short-Term Investments 434,814 330,361
Investment Securities 148,794 184,201
Loans, Net of Allowance for Loan Losses      
LIABILITIES:    
Deposits      
Short-Term Borrowings      
Subordinated Notes Payable      
Long-Term Borrowings      
Fair Value | Level 2 Inputs
   
ASSETS:    
Cash      
Short-Term Investments      
Investment Securities 131,959 122,948
Loans, Net of Allowance for Loan Losses      
LIABILITIES:    
Deposits 2,150,961 2,173,331
Short-Term Borrowings 68,066 42,021
Subordinated Notes Payable 62,886 62,858
Long-Term Borrowings 42,028 47,770
Fair Value | Level 3 Inputs
   
ASSETS:    
Cash      
Short-Term Investments      
Investment Securities      
Loans, Net of Allowance for Loan Losses 1,395,960 1,485,813
LIABILITIES:    
Deposits      
Short-Term Borrowings      
Subordinated Notes Payable      
Long-Term Borrowings