INVESTMENT SECURITIES AVAILABLE-FOR-SALE (Gross Unrealized Loss and Fair Value of Securities) (Details) $ in Thousands |
Dec. 31, 2015
USD ($)
Security
|
Dec. 31, 2014
USD ($)
Security
|
| Schedule of Available-for-sale Securities [Line Items] |
|
|
| Fair value, less than 12 months |
$ 83,122
|
$ 38,307
|
| Unrealized losses, less than 12 months |
$ (1,779)
|
$ (851)
|
| Number of securities, less than 12 months | Security |
39
|
31
|
| Fair value, more than 12 months |
$ 15,778
|
$ 26,541
|
| Unrealized losses, more than 12 Months |
$ (1,260)
|
$ (2,705)
|
| Number of securities, more than 12 Months | Security |
21
|
16
|
| Fair value, total |
$ 98,900
|
$ 64,848
|
| Unrealized losses, total |
$ (3,039)
|
$ (3,556)
|
| Number of Securities, total | Security |
60
|
47
|
| CMBS [Member] |
|
|
| Schedule of Available-for-sale Securities [Line Items] |
|
|
| Fair value, less than 12 months |
$ 79,570
|
$ 35,860
|
| Unrealized losses, less than 12 months |
$ (849)
|
$ (555)
|
| Number of securities, less than 12 months | Security |
31
|
22
|
| Fair value, more than 12 months |
$ 13,783
|
$ 25,583
|
| Unrealized losses, more than 12 Months |
$ (942)
|
$ (2,647)
|
| Number of securities, more than 12 Months | Security |
15
|
13
|
| Fair value, total |
$ 93,353
|
$ 61,443
|
| Unrealized losses, total |
$ (1,791)
|
$ (3,202)
|
| Number of Securities, total | Security |
46
|
35
|
| RMBS [Member] |
|
|
| Schedule of Available-for-sale Securities [Line Items] |
|
|
| Fair value, less than 12 months |
$ 1,157
|
|
| Unrealized losses, less than 12 months |
$ (88)
|
|
| Number of securities, less than 12 months | Security |
2
|
|
| Fair value, more than 12 months |
$ 0
|
|
| Unrealized losses, more than 12 Months |
$ 0
|
|
| Number of securities, more than 12 Months | Security |
0
|
|
| Fair value, total |
$ 1,157
|
|
| Unrealized losses, total |
$ (88)
|
|
| Number of Securities, total | Security |
2
|
|
| ABS [Member] |
|
|
| Schedule of Available-for-sale Securities [Line Items] |
|
|
| Fair value, less than 12 months |
$ 2,330
|
$ 1,000
|
| Unrealized losses, less than 12 months |
$ (824)
|
$ (278)
|
| Number of securities, less than 12 months | Security |
5
|
8
|
| Fair value, more than 12 months |
$ 668
|
$ 958
|
| Unrealized losses, more than 12 Months |
$ (174)
|
$ (58)
|
| Number of securities, more than 12 Months | Security |
5
|
3
|
| Fair value, total |
$ 2,998
|
$ 1,958
|
| Unrealized losses, total |
$ (998)
|
$ (336)
|
| Number of Securities, total | Security |
10
|
11
|
| Corporate bonds [Member] |
|
|
| Schedule of Available-for-sale Securities [Line Items] |
|
|
| Fair value, less than 12 months |
$ 65
|
$ 1,447
|
| Unrealized losses, less than 12 months |
$ (18)
|
$ (18)
|
| Number of securities, less than 12 months | Security |
1
|
1
|
| Fair value, more than 12 months |
$ 1,327
|
$ 0
|
| Unrealized losses, more than 12 Months |
$ (144)
|
$ 0
|
| Number of securities, more than 12 Months | Security |
1
|
0
|
| Fair value, total |
$ 1,392
|
$ 1,447
|
| Unrealized losses, total |
$ (162)
|
$ (18)
|
| Number of Securities, total | Security |
2
|
1
|