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Accumulated Other Comprehensive Income
9 Months Ended
Sep. 30, 2014
Disclosure Text Block Abstract  
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