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Note 20 - Debt (Tables)
12 Months Ended
Dec. 31, 2021
Notes Tables  
Schedule of Debt [Table Text Block]
  

As of December 31,

        

Description

 

2021

  

2020

  

Interest Rate Terms

 

Interest (2)

 

Maturity

Non-convertible debt:

               

12.00% senior notes (the "2020 Senior Notes")

 $4,500  $4,500  

Fixed

  12.00% 

January 2024

12.00% senior notes (the "2019 Senior Notes")

  -   2,400  

Fixed

  12.00% 

September 2021

PPP Loan

  -   2,166  

Fixed

  1.00% 

May 2022

Contingent convertible debt:

               

8.00% convertible senior note (the "2017 Convertible Note")

  15,000   15,000  

Fixed

  8.00% 

March 2023

Less unamortized debt issuance costs

  (67)  (401)       
   14,933   14,599        

Junior subordinated notes (1):

               

Alesco Capital Trust I

  28,125   28,125  

Variable

  4.37% (1) 

July 2037

Sunset Financial Statutory Trust I

  20,000   20,000  

Variable

  4.13% (1) 

March 2035

Less unamortized discount

  (24,164)  (24,690)       
   23,961   23,435        
                

ByLine Bank

  -   -  

Variable

  N/A 

December 2023

FT Financial Bank, N.A. Credit Facility

  -   -  

Variable

  N/A 

N/A

Total

 $43,394  $47,100        
Schedule Of Interest Expense By Debt Instrument [Table Text Block]
  

Year Ended December 31,

 
  

2021

  

2020

  

2019

 

Junior subordinated notes

 $2,601  $2,882  $3,457 

2020 Senior Notes

  540   496   - 

2017 Convertible Note

  1,534   1,505   1,472 

2013 Convertible Notes / 2019 Senior Notes

  211   336   615 

FT LOC / Byline LOC

  435   1,102   365 

Redeemable Financial Instrument - DGC Trust / CBF

  197   1,490   1,166 

Redeemable Financial Instrument - JKD Investor

  1,715   1,883   699 

Redeemable Financial Instrument - ViaNova Capital Group, LLC

  -   (105)  (190)
  $7,233  $9,589  $7,584