Comprehensive Income Note Text Block |
NOTE 15 - ACCUMULATED OTHER COMPREHENSIVE INCOME Accumulated other comprehensive income, net of income tax, as of September 30, 2014 and December 31, 2013 consisted of: | September 30, | | December 31, | | 2014 | | 2013 | | (In thousands) | Unrealized gain on securities available-for-sale which are not
other-than-temporarily impaired | $ | 23,995 | | $ | 13,267 | Income tax effect of unrealized gain on securities available-for-sale | | (3,677) | | | (1,834) | Net unrealized gain on securities available-for-sale which are not
other-than-temporarily impaired | | 20,318 | | | 11,433 | Unrealized loss on cash flow hedges | | (8,717) | | | (10,907) | Income tax effect of unrealized loss on cash flow hedges | | 1,810 | | | 2,665 | Net unrealized loss on cash flow hedges | | (6,907) | | | (8,242) | Accumulated other comprehensive income, net of taxes | $ | 13,411 | | $ | 3,191 |
The following table presents changes in accumulated other comprehensive income by component, net of taxes, for the quarters and nine-month periods ended September 30, 2014 and 2013 | Quarter Ended September 30, | | 2014 | | 2013 | | Net unrealized | | Net unrealized | | Accumulated | | Net unrealized | | Net unrealized | | Accumulated | | gains on | | loss on | | other | | gains on | | loss on | | other | | securities | | cash flow | | comprehensive | | securities | | cash flow | | comprehensive | | available-for-sale | | hedges | | income | | available-for-sale | | hedges | | income | | (In thousands) | Beginning balance | $ | 29,759 | | $ | (8,004) | | $ | 21,755 | | $ | 25,400 | | $ | (9,634) | | $ | 15,766 | Other comprehensive income (loss) before reclassifications | | (9,452) | | | (559) | | | (10,011) | | | (5,113) | | | (1,509) | | | (6,622) | Amounts reclassified out of accumulated other comprehensive income | | 11 | | | 1,656 | | | 1,667 | | | 37 | | | 1,651 | | | 1,688 | Other comprehensive income (loss) | | (9,441) | | | 1,097 | | | (8,344) | | | (5,076) | | | 142 | | | (4,934) | Ending balance | $ | 20,318 | | $ | (6,907) | | $ | 13,411 | | $ | 20,324 | | $ | (9,492) | | $ | 10,832 | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | Nine-Month Period Ended September 30, | | 2014 | | 2013 | | Net unrealized | | Net unrealized | | Accumulated | | Net unrealized | | Net unrealized | | Accumulated | | gains on | | loss on | | other | | gains on | | loss on | | other | | securities | | cash flow | | comprehensive | | securities | | cash flow | | comprehensive | | available-for-sale | | hedges | | income | | available-for-sale | | hedges | | income | | (In thousands) | Beginning balance | $ | 11,433 | | $ | (8,242) | | $ | 3,191 | | $ | 68,245 | | $ | (12,365) | | $ | 55,880 | Other comprehensive income before reclassifications | | 8,727 | | | (3,584) | | | 5,143 | | | (48,047) | | | (1,530) | | | (49,577) | Amounts reclassified out of accumulated other comprehensive income | | 158 | | | 4,919 | | | 5,077 | | | 126 | | | 4,403 | | | 4,529 | Other comprehensive income (loss) | | 8,885 | | | 1,335 | | | 10,220 | | | (47,921) | | | 2,873 | | | (45,048) | Ending balance | $ | 20,318 | | $ | (6,907) | | $ | 13,411 | | | 20,324 | | $ | (9,492) | | $ | 10,832 |
The following table presents reclassifications out of accumulated other comprehensive income for the quarters and nine-month periods ended September 30, 2014 and 2013: | Amount reclassified out of accumulated | | | | other comprehensive income | | | | | | | | | | | | | Quarter Ended | | | Nine-Month Period | | Affected Line Item in | | | September 30, 2014 | | | Ended September 30, 2014 | | Consolidated Statement | | | | | | of Operations | | (In thousands) | | | Cash flow hedges: | | | | | | | | Interest-rate contracts | $ | 1,656 | | $ | 4,919 | | Net interest expense | Available-for-sale securities: | | | | | | | | Residual tax effect from OIB's change in applicable tax rate | | 11 | | | 158 | | Income tax expense | | $ | 1,667 | | $ | 5,077 | | | | | | | | | | | | | | | | | | | | Amount reclassified out of accumulated | | | | other comprehensive income | | | | | | | | | | | | | Quarter Ended | | | Nine-Month Period | | Affected Line Item in | | | September 30, 2013 | | | Ended September 30, 2013 | | Consolidated Statement | | | | | | of Operations | | (In thousands) | | | Cash flow hedges: | | | | | | | | Interest-rate contracts | $ | 1,651 | | $ | 4,403 | | Net interest expense | Available-for-sale securities: | | | | | | | | Residual tax effect from OIB's change in applicable tax rate | | 37 | | | 126 | | Income tax expense | | $ | 1,688 | | $ | 4,529 | | |
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