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Fair Value Measurements (Tables)
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12 Months Ended |
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Dec. 31, 2014
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| Fair Value Measurements [Abstract] |
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| Summary Of Financial Assets Measured At Fair Value On A Recurring Basis |
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Fair Value Measurement at Reporting Date Using
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Quoted Prices in Active Markets for Identical Assets
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Significant Other Observable Inputs
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Significant Unobservable Inputs
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(Dollars in thousands)
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Total
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(Level 1)
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(Level 2)
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(Level 3)
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At December 31, 2014
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Available for sale securities:
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Federal agency securities
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99,546
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-
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99,546
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-
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Obligations of state and political subdivisions
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33,139
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-
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33,139
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-
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Residential mortgage-backed securities
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178,227
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-
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178,227
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-
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Asset-backed securities
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9,548
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-
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9,548
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-
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Other securities
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32,771
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142
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32,629
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-
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Derivative instruments, net
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(1,586)
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-
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(1,586)
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-
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Total
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$
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351,645
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$
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142
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$
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351,503
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$
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-
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At December 31, 2013
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Available for sale securities:
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Federal agency securities
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120,773
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-
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120,773
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-
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Obligations of state and political subdivisions
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32,636
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-
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32,636
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-
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Residential mortgage-backed securities
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183,170
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-
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183,170
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-
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Asset-backed securities
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9,482
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-
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9,482
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-
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Other securities
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36,418
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151
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36,267
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-
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Derivative instruments, net
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(1,967)
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-
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(1,967)
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-
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Total
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$
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380,512
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$
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151
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$
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380,361
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$
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-
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| Asset Measured At Fair Value On A Nonrecurring Basis |
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Fair Value Measurements Using
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Quoted Prices in Active Markets for Identical Assets
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Significant Other Observable Inputs
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Significant Unobservable Inputs
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(Dollars in thousands)
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Total
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(Level 1)
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(Level 2)
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(Level 3)
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At December 31, 2014
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Impaired loans at fair value :
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Commercial real estate
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$
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11,762
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$
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-
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$
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11,762
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$
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-
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Commercial
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5,722
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-
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5,722
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-
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Loans held for sale:
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One-to-four family residential
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763
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-
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763
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-
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Government guaranteed commercial real estate
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705
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-
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705
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-
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Other loans held for sale
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17
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-
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17
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-
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Other real estate
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3,097
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-
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3,097
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-
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Goodwill
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1,214
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-
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1,214
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-
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Core deposit premium
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530
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-
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530
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-
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Mortgage loan servicing rights
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3,529
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-
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-
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3,529
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Total
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$
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27,339
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$
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-
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$
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23,810
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$
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3,529
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At December 31, 2013
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Impaired loans at fair value :
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Commercial real estate
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$
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20,764
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$
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-
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$
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20,764
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$
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-
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One-to-four family residential
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1,045
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-
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1,045
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-
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Real estate construction
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2,636
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-
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2,636
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-
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Commercial
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9,176
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-
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9,176
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-
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Other consumer
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75
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-
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75
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-
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Loans held for sale:
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One-to-four family residential
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2,235
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-
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2,235
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-
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Government guaranteed commercial real estate
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769
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-
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769
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-
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Other loans held for sale
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56
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-
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56
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-
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Other real estate
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2,654
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-
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2,654
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-
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Goodwill
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1,214
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1,214
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Core deposit premium
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2,058
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-
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2,058
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-
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Mortgage loan servicing rights
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3,492
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-
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-
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3,492
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Total
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$
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46,174
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$
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-
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$
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42,682
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$
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3,492
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| Carrying Values And Estimated Fair Values Of Financial Instruments Segregated By The Level Of The Valuation Inputs |
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At December 31, 2014
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At December 31, 2013
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Carrying
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Fair
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Carrying
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Fair
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(Dollars in thousands)
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Values
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Values
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Values
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Values
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Financial assets:
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Level 2 inputs:
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Cash and cash equivalents
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$
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140,936
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$
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140,936
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$
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279,839
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$
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279,839
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Securities held to maturity
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12,362
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12,880
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11,720
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12,115
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Accrued interest receivable
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4,723
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4,723
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5,335
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5,335
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Derivative asset
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787
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787
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-
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-
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Investments included in other assets
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7,444
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7,444
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8,140
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8,140
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Level 3 inputs:
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Total loans, net of allowance
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1,371,539
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1,303,047
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1,234,240
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1,190,869
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Financial liabilities:
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Level 2 inputs:
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Deposits
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1,533,999
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1,450,540
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1,584,086
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1,486,939
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Accrued interest payable
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769
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769
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832
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832
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Other liabilities
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8,334
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8,334
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8,248
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8,248
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Derivative liabilities
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2,373
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2,373
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1,967
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1,967
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Other borrowings
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79,380
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81,544
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80,632
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83,593
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Subordinated debentures
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46,393
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46,393
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46,393
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46,393
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