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Financing Activities (Tables)
12 Months Ended
Dec. 31, 2011
Financing Activities [Abstract]  
Other Borrowings
(dollars in thousands)   2011     2010  
Old National Bancorp:            

Junior subordinated debentures (variable rates 2.18%

           

to 3.63% and fixed rates of 6.52%) maturing

           

July 2033to June 2037

$ 16,000   $ 8,000  

Subordinated notes (fixed rate of 10.00%)

           

maturing June 2019

  13,000     0  

ASC 815 fair value hedge and other basis adjustments

  (3,003 )   (36 )
Old National Bank:            

Securities sold under agreements to repurchase (variable

           

rates 3.62% to 3.82%) maturing October 2014

  50,000     50,000  

Federal Home Loan Bank advances (fixed rates

           

1.24% to 8.34% and variable rate 2.68%)

           

maturing June 2012 to January 2023

  208,360     211,696  

Subordinated bank notes (fixed rate of 6.75%)

           

maturing October 2011

  0     150,000  

Capital lease obligation

  4,261     4,307  

ASC 815 fair value hedge and other basis adjustments

  2,156     (2,056 )

Total other borrowings

$ 290,774   $ 421,911  
Contractual Maturities Of Long-Term Debt
(dollars in thousands)      
Due in 2012 $ 688  
Due in 2013   75,650  
Due in 2014   42,528  
Due in 2015   66,763  
Due in 2016   17,430  
Thereafter   88,562  
ASC 815 fair value hedge and other basis adjustments   (847 )

Total

$ 290,774  
Future Minimum Lease Payments Under The Capital Lease
(dollars in thousands)    
2012 $ 390
2013   390
2014   410
2015   410
2016   410
Thereafter   10,084

Total minimum lease payments

  12,094
Less amounts representing interest   7,833

Present value of net minimum lease payments

$ 4,261