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Borrowings and Subordinated Debentures (Tables)
6 Months Ended
Jun. 30, 2020
Debt Disclosure [Abstract]  
Schedule of debt
The following table summarizes our borrowings as of the dates indicated:
June 30, 2020December 31, 2019
WeightedWeighted
AverageAverage
BalanceRateBalanceRate
(Dollars in thousands)
FHLB secured advances$10,000  — %$1,318,000  1.66 %
FHLB unsecured overnight advance—  — %141,000  1.56 %
AFX short-term borrowings50,000  0.05 %300,000  1.61 %
Non-recourse debt—  — % 7.50 %
Total borrowings$60,000  0.04 %$1,759,008  1.64 %
Federal Home Loan Bank, Advances
The following table presents the interest rates and maturity dates of FHLB secured advances as of the dates indicated:
June 30, 2020December 31, 2019
MaturityMaturity
BalanceRateDateBalanceRateDate
(Dollars in thousands)
Overnight advance$—  — %$1,318,000  1.66 %1/2/2020
Term advance5,000  — %11/6/2020—  — %
Term advance5,000  — %5/6/2021—  — %
Total FHLB secured advances$10,000  — %$1,318,000  1.66 %
Schedule of Subordinated Borrowing
The following table summarizes the terms of each issuance of subordinated debentures outstanding as of the dates indicated:
June 30, 2020December 31, 2019DateMaturityRate Index
SeriesBalance
Rate
Balance
Rate
IssuedDate(Quarterly Reset)
(Dollars in thousands)
Trust V$10,310  3.40 %$10,310  5.00 %8/15/20039/17/20333-month LIBOR + 3.10
Trust VI10,310  3.36 %10,310  4.94 %9/3/20039/15/20333-month LIBOR + 3.05
Trust CII5,155  3.25 %5,155  4.85 %9/17/20039/17/20333-month LIBOR + 2.95
Trust VII61,856  3.51 %61,856  4.69 %2/5/20044/23/20343-month LIBOR + 2.75
Trust CIII20,619  2.00 %20,619  3.58 %8/15/20059/15/20353-month LIBOR + 1.69
Trust FCCI16,495  1.91 %16,495  3.49 %1/25/20073/15/20373-month LIBOR + 1.60
Trust FCBI10,310  1.86 %10,310  3.44 %9/30/200512/15/20353-month LIBOR + 1.55
Trust CS 2005-182,475  2.26 %82,475  3.85 %11/21/200512/15/20353-month LIBOR + 1.95
Trust CS 2005-2128,866  2.71 %128,866  3.89 %12/14/20051/30/20363-month LIBOR + 1.95
Trust CS 2006-151,545  2.71 %51,545  3.89 %2/22/20064/30/20363-month LIBOR + 1.95
Trust CS 2006-251,550  2.71 %51,550  3.89 %9/27/200610/30/20363-month LIBOR + 1.95
Trust CS 2006-3 (1)
28,956  1.82 %28,902  1.64 %9/29/200610/30/20363-month EURIBOR + 2.05
Trust CS 2006-4 16,470  2.71 %16,470  3.89 %12/5/20061/30/20373-month LIBOR + 1.95
Trust CS 2006-5 6,650  2.71 %6,650  3.89 %12/19/20061/30/20373-month LIBOR + 1.95
Trust CS 2007-239,177  2.71 %39,177  3.89 %6/13/20077/30/20373-month LIBOR + 1.95
Gross subordinated debentures540,744  2.65 %540,690  3.87 %
Unamortized discount (2)
(79,972) (82,481) 
Net subordinated debentures$460,772  $458,209  
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(1) Denomination is in Euros with a value of €25.8 million.
(2) Amount represents the fair value adjustment on trust preferred securities assumed in acquisitions.