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SUBORDINATED DEBENTURES (Tables)
12 Months Ended
Dec. 31, 2014
Subordinated Borrowings [Abstract]  
Summary Of Junior Subordinated Debentures Issued To Trusts
The following is a summary of the junior subordinated debentures issued to the Trusts in conjunction with the trust preferred securities offerings at December 31, 2014 and 2013:
Name of Trust
 
Issuance Date
 
Maturity Date
 
Call Date (1)
 
Interest Rate (2)
 
Trust Preferred Securities
 
Subordinated Debentures
 
 
 
 
 
 
 
 
 
 
(dollars expressed in thousands)
Variable Rate
 
 
 
 
 
 
 
 
 
 
 
 
First Bank Statutory Trust II
 
September 2004
 
September 20, 2034
 
September 20, 2009
 
205.0 bp
 
$
20,000

 
$
20,619

Royal Oaks Capital Trust I
 
October 2004
 
January 7, 2035
 
January 7, 2010
 
240.0 bp
 
4,000

 
4,124

First Bank Statutory Trust III
 
November 2004
 
December 15, 2034
 
December 15, 2009
 
218.0 bp
 
40,000

 
41,238

First Bank Statutory Trust IV
 
March 2006
 
March 15, 2036
 
March 15, 2011
 
142.0 bp
 
40,000

 
41,238

First Bank Statutory Trust V
 
April 2006
 
June 15, 2036
 
June 15, 2011
 
145.0 bp
 
20,000

 
20,619

First Bank Statutory Trust VI
 
June 2006
 
July 7, 2036
 
July 7, 2011
 
165.0 bp
 
25,000

 
25,774

First Bank Statutory Trust VII
 
December 2006
 
December 15, 2036
 
December 15, 2011
 
185.0 bp
 
50,000

 
51,547

First Bank Statutory Trust VIII
 
February 2007
 
March 30, 2037
 
March 30, 2012
 
161.0 bp
 
25,000

 
25,774

First Bank Statutory Trust X
 
August 2007
 
September 15, 2037
 
September 15, 2012
 
230.0 bp
 
15,000

 
15,464

First Bank Statutory Trust IX
 
September 2007
 
December 15, 2037
 
December 15, 2012
 
225.0 bp
 
25,000

 
25,774

First Bank Statutory Trust XI
 
September 2007
 
December 15, 2037
 
December 15, 2012
 
285.0 bp
 
10,000

 
10,310

Fixed Rate
 
 
 
 
 
 
 
 
 
 
 
 
First Bank Statutory Trust
 
March 2003
 
March 20, 2033
 
March 20, 2008
 
8.10%
 
25,000

 
25,774

First Preferred Capital Trust IV
 
April 2003
 
June 30, 2033
 
June 30, 2008
 
8.15%
 
46,000

 
47,423

 
(1)
The junior subordinated debentures are callable at the option of the Company on the call date shown at 100% of the principal amount plus accrued and unpaid interest.
(2)
The interest rates paid on the trust preferred securities are based on either a variable rate or a fixed rate. The variable rate is based on the three-month LIBOR plus the basis point spread shown.