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UNSECURED BORROWINGS (Tables)
12 Months Ended
Dec. 31, 2015
UNSECURED BORROWINGS [Abstract]  
Schedule of Subordinated Note Balances and Related Weighted Average Interest Rates
Note balances net of deferred issuance costs, and related weighted average interest rates as of the indicated dates (calculated including issuance cost amortization and adjusted for effects of related currently-paying Derivatives held as cash flow hedges) were as follows (dollars in thousands):
 
  
December 31, 2015
  
December 31, 2014
 
  
Borrowings
Outstanding
  
Average
Rate *
  
Borrowings
Outstanding
  
Average
Rate
 
Junior subordinated notes maturing in:
            
October 2035               ($35,000 face amount)
 
$
34,234
   
7.91
%
 
$
34,196
   
8.51
%
December 2035            ($40,000 face amount)
  
39,244
   
7.68
   
39,202
   
8.64
 
September 2036           ($25,000 face amount)
  
24,508
   
8.96
   
24,484
   
8.97
 
  
$
97,986
   
8.08
  
$
97,882
   
8.68
 
 
*The average borrowing rate for total unsecured borrowings, adjusted for the effects of related Derivatives held for hedging purposes, will decline to 7.77% effective September 15, 2016, coinciding with the 20-year floating rate period of the September 2036 notes.