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Note 12: Structured Repurchase Agreements
12 Months Ended
Dec. 31, 2016
Notes  
Note 12: Structured Repurchase Agreements

Note 12:    Structured Repurchase Agreements

 

In September 2008, the Company entered into a structured repurchase borrowing transaction for $50 million.  This borrowing bore interest at a fixed rate of 4.34%, was scheduled to mature September 15, 2015, and had a call provision that allowed the repurchase counterparty to call the borrowing quarterly.  The Company pledged investment securities to collateralize this borrowing. 

 

In June 2014, the Company elected to repay this structured repurchase borrowing and incurred a one-time prepayment penalty (see Note 9).