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Financial Derivative Instruments (Tables)
6 Months Ended
Jun. 30, 2015
Financial Derivative Instruments [Abstract]  
Schedule of Notional Amounts of Outstanding Derivative Positions
      3-Month         Unamortized     Cumulative
  Notional Termination LIBOR     Premium   Premium at   Fair Value Cash Flows
  Amount Date Strike Rate     Paid   June 30, 2015   June 30, 2015 Received
 
$ 25,000 06/02/21 3.00 % $ 922 $ 922 $ 509 $ ---
$ 20,000 06/04/24 3.00 % $ 1,470 $ 1,470 $ 954 $ ---
$ 20,000 10/21/21 3.00 % $ 632 $ 632 $ 462 $ ---
$ 25,000 10/21/24 3.00 % $ 1,542 $ 1,542 $ 1,281 $ ---
Schedule of Interest Rate Derivatives
  June 30, 2015  
    Gross     Net of Tax  
Unrealized losses on interest rate caps $ (1,360 ) $ (884 )
Unamortized premium on interest rate caps   4,566     2,968  
Total $ 3,206   $ 2,084  
 
 
 
    December 31, 2014  
    Gross     Net of Tax  
Unrealized losses on interest rate caps $ (1,111 ) $ (722 )
Unamortized premium on interest rate caps   4,566     2,968  
Total $ 3,455   $ 2,246