|
Investment Securities (Details 3) (USD $) In Thousands, unless otherwise specified
|
Sep. 30, 2012
|
Dec. 31, 2011
|
| Aggregate amortized cost and fair value of the available-for-sale securities portfolio by remaining contractual maturity |
|
|
| Total amortized cost securities |
$ 280,327 |
$ 338,685 |
| Total fair value securities |
284,963 |
339,450 |
|
Government-sponsored enterprises and FFCB bonds [Member]
|
|
|
| Aggregate amortized cost and fair value of the available-for-sale securities portfolio by remaining contractual maturity |
|
|
| Amortized cost due in one through five years |
|
3 |
| Fair value due in one through five years |
|
28 |
| Amortized cost due in five through ten years |
|
1,000 |
| Fair value due in five through ten years |
|
1,004 |
| Total fair value securities |
|
1,032 |
|
Obligations of states and political subdivisions [Member]
|
|
|
| Aggregate amortized cost and fair value of the available-for-sale securities portfolio by remaining contractual maturity |
|
|
| Amortized cost due in one year or less |
|
250 |
| Fair value due in one year or less |
|
252 |
| Amortized cost due in one through five years |
1,605 |
961 |
| Fair value due in one through five years |
1,697 |
1,033 |
| Amortized cost due in five through ten years |
8,353 |
11,768 |
| Fair value due in five through ten years |
8,767 |
12,083 |
| Amortized cost due after ten year |
14,802 |
14,876 |
| Fair value due after ten year |
15,306 |
15,350 |
| Total fair value securities |
25,770 |
28,718 |
|
Mortgage-backed securities [Member]
|
|
|
| Aggregate amortized cost and fair value of the available-for-sale securities portfolio by remaining contractual maturity |
|
|
| Amortized cost due in one through five years |
1,039 |
|
| Fair value due in one through five years |
1,057 |
|
| Amortized cost due in five through ten years |
28,453 |
7,415 |
| Fair value due in five through ten years |
29,391 |
7,490 |
| Amortized cost due after ten year |
73,729 |
123,534 |
| Fair value due after ten year |
74,277 |
124,802 |
| Total fair value securities |
104,725 |
132,292 |
|
SBA- backed securities [Member]
|
|
|
| Aggregate amortized cost and fair value of the available-for-sale securities portfolio by remaining contractual maturity |
|
|
| Amortized cost due in five through ten years |
4,855 |
2,967 |
| Fair value due in five through ten years |
4,947 |
3,007 |
| Amortized cost due after ten year |
120,450 |
143,228 |
| Fair value due after ten year |
122,294 |
143,630 |
| Total fair value securities |
127,241 |
146,637 |
|
Corporate Bond [Member]
|
|
|
| Aggregate amortized cost and fair value of the available-for-sale securities portfolio by remaining contractual maturity |
|
|
| Amortized cost due in one through five years |
19,554 |
13,338 |
| Fair value due in one through five years |
19,663 |
13,081 |
| Amortized cost due in five through ten years |
7,487 |
19,345 |
| Fair value due in five through ten years |
$ 7,564 |
$ 17,690 |