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Deposits Deposits-CD Maturities (Details) - USD ($)
$ in Thousands
Mar. 31, 2017
Mar. 31, 2016
[1]
Certificates of Deposits, Fiscal Year Maturity    
CD Maturities, Next Twelve Months $ 161,536  
CD Maturities, Year Two 47,227  
CD Maturities, Year Three 18,182  
CD Maturities, Year Four 4,513  
CD Maturities, Year Five 4,436  
CD Maturities, after Year Five 448  
Time Deposits 236,342 $ 255,854
Contractual Maturities, Certificates of Deposits, $100,000 or More    
Contractual Maturities, CDs, $100,000 or More, Three Months or Less 52,290  
Contractual Maturities, CDs, $100,000 or More, Three Months Through Six Months 15,570  
Contractual Maturities, CDs, $100,000 or More, Six Months Through 12 Months 72,260  
Contractual Maturities, CDs, $100,000 or More, after 12 Months 56,915  
CDs, $100,000 or More $ 197,035  
[1] (1) March 31, 2016 balances have been restated from previously reported results to correct for material and certain other errors from prior periods. Equity in net loss from subsidiaries was increased and total income was reduced by $1.5 million, interest expense on borrowings and total expense were increased by $66 thousand, and net loss and comprehensive loss were increased $1.6 million. Refer to Notes 1 and 19 for further detail.