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Borrowings under Reverse Repurchase Agreements (Tables)
6 Months Ended
Jun. 30, 2015
Borrowings under Reverse Repurchase Agreements [Abstract]  
Schedule of Repurchase Agreements [Table Text Block]
The following table details the Company's outstanding borrowings under reverse repurchase agreements by remaining maturity as of June 30, 2015 and December 31, 2014:
(In thousands)
 
June 30, 2015
 
December 31, 2014
 
 
 
 
Weighted Average
 
 
 
Weighted Average
Remaining Maturity
 
Outstanding
Borrowings
 
Interest Rate
 
Remaining Days to Maturity
 
Outstanding
Borrowings
 
Interest Rate
 
Remaining Days to Maturity
30 Days or Less
 
$
163,608

 
0.70
%
 
16
 
$
715,194

 
0.22
%
 
14

31-60 Days
 
140,488

 
0.65
%
 
47
 
322,874

 
0.52
%
 
44

61-90 Days
 
260,762

 
0.57
%
 
76
 
289,276

 
0.52
%
 
71

91-120 Days
 
206,113

 
0.47
%
 
107
 

 
%
 

121-150 Days
 
145,900

 
0.49
%
 
136
 
21,236

 
2.03
%
 
139

151-180 Days
 
312,866

 
0.59
%
 
164
 
123,484

 
1.25
%
 
162

181-360 Days
 
21,143

 
2.54
%
 
347
 
47,768

 
0.85
%
 
274

>360 Days
 
109,528

 
2.44
%
 
450
 
149,601

 
2.41
%
 
631

 
 
$
1,360,408

 
0.76
%
 
132
 
$
1,669,433

 
0.65
%
 
105