XML 129 R96.htm IDEA: XBRL DOCUMENT v3.3.1.900
Borrowings - Schedule of Remaining Borrowing Capacity with FHLB (Parenthetical) (Detail)
12 Months Ended
Dec. 31, 2015
Sep. 07, 2015
Dec. 31, 2014
Aug. 10, 2010
Oct. 31, 2009
Jun. 30, 2009
Aug. 31, 2008
Feb. 28, 2008
Interest Rate 2.09% [Member]                
Borrowings Under Repurchase Agreements [Line items]                
Fixed rate on borrowings   2.09%            
Interest Rate 0.43% and 0.27% [Member]                
Borrowings Under Repurchase Agreements [Line items]                
Fixed rate on borrowings 0.43%   0.27%          
Interest Rate 4.6% [Member]                
Borrowings Under Repurchase Agreements [Line items]                
Fixed rate on borrowings 4.60%   4.60%     4.60%    
FHLB advances, floating rate description 3 month LIBOR + 0.16%              
FHLB advances, basis spread on floating rate 0.16%              
Interest Rate 4.02% [Member]                
Borrowings Under Repurchase Agreements [Line items]                
Fixed rate on borrowings 4.02%   4.02%         4.02%
FHLB advances, floating rate description 3 month LIBOR + 0.11%              
FHLB advances, basis spread on floating rate 0.11%              
Interest Rate 4.10% [Member]                
Borrowings Under Repurchase Agreements [Line items]                
Fixed rate on borrowings 4.10%   4.10%       4.10%  
FHLB advances, floating rate description 3 month LIBOR + 0.11%              
FHLB advances, basis spread on floating rate 0.11%              
Interest Rate 4.47% [Member]                
Borrowings Under Repurchase Agreements [Line items]                
Fixed rate on borrowings 4.47%   4.47% 4.47%        
FHLB advances, floating rate description 3 month LIBOR + 0.11%              
FHLB advances, basis spread on floating rate 0.11%              
Interest Rate 3.97% [Member]                
Borrowings Under Repurchase Agreements [Line items]                
Fixed rate on borrowings 3.97%   3.97%   3.97%      
FHLB advances, floating rate description 3 month LIBOR + 0.10%              
FHLB advances, basis spread on floating rate 0.10%              
Interest Rate 1.25% [Member]                
Borrowings Under Repurchase Agreements [Line items]                
Fixed rate on borrowings 1.25%              
Interest Rate 1.35% [Member]                
Borrowings Under Repurchase Agreements [Line items]                
Fixed rate on borrowings 1.35%              
Interest Rate 4.72% [Member]                
Borrowings Under Repurchase Agreements [Line items]                
Fixed rate on borrowings 4.72%              
Interest Rate 4.31%[Member]                
Borrowings Under Repurchase Agreements [Line items]                
Fixed rate on borrowings 4.31%              
Interest Rate 3.05% [Member]                
Borrowings Under Repurchase Agreements [Line items]                
Fixed rate on borrowings 3.05%              
Interest Rate 5.24% [Member]                
Borrowings Under Repurchase Agreements [Line items]                
Fixed rate on borrowings 5.24%              
Interest Rate 3.35% [Member]                
Borrowings Under Repurchase Agreements [Line items]                
Fixed rate on borrowings 3.35%              
Interest Rate 4.00% [Member]                
Borrowings Under Repurchase Agreements [Line items]                
Fixed rate on borrowings 4.00%              
Interest Rate 2.96% [Member]                
Borrowings Under Repurchase Agreements [Line items]                
Fixed rate on borrowings 2.96%