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Note 9 - Securities Sold Under Agreements to Repurchase (Tables)
6 Months Ended
Jun. 30, 2013
Disclosure Text Block [Abstract]  
Schedule Of Long Term Securities Sold Under Agreements To Repurchase [Table Text Block]

(Dollars in millions)

 

Fixed-to-floating

   

Floating-to-fixed

   

Total

 

Rate type

 

Float Rate

   

Fixed Rate

         

Rate index

 

8% minus 3 month LIBOR

                         

Maximum rate

    3.75%       3.50%       3.50%       3.53%       3.25%                          

Minimum rate

    0.0%       0.0%       0.0%       0.0%       0.0%                          

No. of agreements

    1       3       3       1       1       1       4       14  

Amount

  $ 50.0     $ 150.0     $ 150.0     $ 50.0     $ 50.0     $ 100.0     $ 200.0     $ 750.0  

Weighted average rate

    3.75%       3.50%       3.50%       3.53%       3.25%       4.78%       5.00%       4.07%  

Final maturity

    2014       2014       2015       2015       2015       2014       2017          
Schedule of Repurchase Agreements [Table Text Block]

Maturity 

 

No. of

Agreements

   

Amount

(In thousands)

   

Weighted Average

Interest Rate

 

3 years to 5 years

    3     $ 150,000       2.71 %

Over 5 years

    1       50,000       2.98 %

Total

    4     $ 200,000       2.78 %