Quarterly report pursuant to Section 13 or 15(d)

Condensed Consolidated Balance Sheets

v2.4.0.6
Condensed Consolidated Balance Sheets (USD $)
In Thousands, unless otherwise specified
Mar. 31, 2013
Dec. 31, 2012
Mar. 31, 2012
Cash and cash equivalents:      
Cash and due from banks $ 52,017 $ 71,426 $ 56,971
Interest-bearing deposits in other banks 24,715 11,320 53,878
Money market investments 1 1 179
Federal funds sold 160 155 155
Total cash and cash equivalents 76,893 82,902 111,183
Securities available for sale, at fair value 583,217 585,382 621,751
Restricted stock, at cost 17,956 20,687 20,715
Loans held for sale 127,106 167,698 73,575
Loans, net of unearned income 2,973,547 2,966,847 2,841,758
Less allowance for loan losses 34,415 34,916 40,204
Net loans 2,939,132 2,931,931 2,801,554
Bank premises and equipment, net 83,366 85,409 90,986
Other real estate owned, net of valuation allowance 35,878 32,834 37,663
Core deposit intangibles, net 14,742 15,778 19,403
Goodwill 59,400 59,400 59,400
Other assets 113,445 113,844 111,569
Total assets 4,051,135 4,095,865 3,947,799
LIABILITIES      
Noninterest-bearing demand deposits 665,992 645,901 564,811
Interest-bearing deposits:      
NOW accounts 459,117 454,150 434,625
Money market accounts 945,273 957,130 904,272
Savings accounts 225,543 207,846 194,473
Time deposits of $100,000 and over 507,972 508,630 541,660
Other time deposits 507,852 524,110 575,866
Total interest-bearing deposits 2,645,757 2,651,866 2,650,896
Total deposits 3,311,749 3,297,767 3,215,707
Securities sold under agreements to repurchase 72,047 54,270 53,043
Other short-term borrowings   78,000  
Trust preferred capital notes 60,310 60,310 60,310
Long-term borrowings 137,364 136,815 155,503
Other liabilities 38,892 32,840 37,132
Total liabilities 3,620,362 3,660,002 3,521,695
Commitments and contingencies         
STOCKHOLDERS' EQUITY      
Common stock, $1.33 par value, shares authorized 36,000,000; issued and outstanding, 24,859,729 shares, 25,270,970 shares, and 25,944,530 shares, respectively. 32,869 33,510 34,396
Surplus 168,304 176,635 185,263
Retained earnings 221,330 215,634 195,933
Accumulated other comprehensive income 8,270 10,084 10,512
Total stockholders' equity 430,773 435,863 426,104
Total liabilities and stockholders' equity $ 4,051,135 $ 4,095,865 $ 3,947,799