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Subordinated Debentures (Tables)
3 Months Ended
Mar. 31, 2015
Subordinated Borrowings [Abstract]  
Schedule of Subordinated Borrowing [Table Text Block] The following table summarizes the mandatory redeemable trust preferred securities of the Company’s Statutory Trust II at March 31, 2015.

Issuance Date   Securities
Issued
    Liquidation Value   Coupon Rate   Maturity   Redeemable by
Issuer Beginning
12/19/2003   $ 5,000,000     $1,000 per Capital Security   Floating 3-month LIBOR + 285 Basis Points   01/23/2034   01/23/2009
Issuance Date   Securities
Issued
    Liquidation Value   Coupon Rate   Maturity   Redeemable by
Issuer Beginning
12/19/2003   $ 5,000,000     $1,000 per Capital Security   Floating 3-month LIBOR + 285 Basis Points   01/23/2034   01/23/2009