Quarterly report pursuant to Section 13 or 15(d)

FAIR VALUE MEASUREMENTS (Details 2)

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FAIR VALUE MEASUREMENTS (Details 2) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
ASSETS:    
Short-Term Investments $ 354,233 $ 474,719
Investment Securities Available for Sale 275,082 251,420
Investment Securities Held to Maturity 180,393 148,211
Loans, Net of Allowance for Loan Losses (20,543) (23,095)
Carrying (Reported) Amount, Fair Value Disclosure
   
ASSETS:    
Cash 63,956 55,209
Short-Term Investments 354,233 474,719
Investment Securities Available for Sale 275,082 251,420
Investment Securities Held to Maturity 180,393 148,211
Loans Held for Sale 13,040 11,065
Loans, Net of Allowance for Loan Losses 1,385,048 1,365,509
LIABILITIES:    
Deposits 2,108,450 2,136,248
Short-Term Borrowings 36,732 51,321
Subordinated Notes Payable 62,887 62,887
Long-Term Borrowings 33,282 38,043
Fair Value, Inputs, Level 1
   
ASSETS:    
Cash 63,956 55,209
Short-Term Investments 354,233 474,719
Investment Securities Available for Sale 114,667 71,833
Investment Securities Held to Maturity 71,561 43,579
Loans Held for Sale     
Loans, Net of Allowance for Loan Losses     
LIABILITIES:    
Deposits     
Short-Term Borrowings     
Subordinated Notes Payable     
Long-Term Borrowings     
Fair Value, Inputs, Level 2
   
ASSETS:    
Short-Term Investments     
Investment Securities Available for Sale 160,415 179,587
Investment Securities Held to Maturity 108,757 103,382
Loans Held for Sale 13,040 11,065
LIABILITIES:    
Deposits 2,108,250 2,136,737
Short-Term Borrowings 36,322 50,754
Subordinated Notes Payable 62,891 62,886
Long-Term Borrowings 34,715 39,450
Fair Value, Inputs, Level 3
   
ASSETS:    
Loans, Net of Allowance for Loan Losses $ 1,315,496 $ 1,265,827