Annual report pursuant to Section 13 and 15(d)

SECURITIES (Schedule of Amortized Cost and Estimated Fair Value of Securities) (Details)

v3.3.1.900
SECURITIES (Schedule of Amortized Cost and Estimated Fair Value of Securities) (Details) - USD ($)
$ in Thousands
Dec. 31, 2015
Dec. 31, 2014
Available-for-sale Securities    
Due in one year or less, Amortized Cost $ 8,380 $ 19,345
Due in one year or less, Estimated Fair Value 8,370 19,434
Due after one year through five years, Amortized Cost 65,326 41,545
Due after one year through five years, Estimated Fair Value 66,996 43,070
Due after five years through ten years, Amortized Cost 296,864 306,900
Due after five years through ten years, Estimated Fair Value 301,920 314,044
Due after ten years, Amortized Cost 520,706 707,445
Due after ten years, Estimated Fair Value 526,006 725,566
Total securities available for sale, Amortized Cost 891,276 1,075,235
Total securities available for sale, Estimated Fair Value 903,292 $ 1,102,114
Held to maturity Securities    
Due in one year or less, Carrying Value [1] 1,488  
Due in one year or less, Estimated Fair Value 1,491  
Due after one year through five years, Carrying Value [1] 4,294  
Due after one year through five years, Estimated Fair Value 4,348  
Due after five years through ten years, Carrying Value [1] 44,736  
Due after five years through ten years, Estimated Fair Value 45,501  
Due after ten years, Carrying Value [1] 154,856  
Due after ten years, Estimated Fair Value 158,097  
Held-to-maturity Securities, Total [1] 205,374  
Total securities held to maturity, Estimated Fair Value $ 209,437  
[1] The carrying value includes $6.8 million of net unrealized gains present at the time of transfer from available for securities, net of any accretion.