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Note 11 - Capital Resources (Details) - Outstanding Junior Subordinated Notes (USD $)
12 Months Ended
Dec. 31, 2013
Subordinated Borrowing [Line Items]  
Principal Balance of Notes (in Dollars) $ 121,136
Cathay Capital Trust I [Member]
 
Subordinated Borrowing [Line Items]  
Issuance Date Jun. 26, 2003
Principal Balance of Notes (in Dollars) 20,619
Not Redeemable Until Jun. 30, 2008
Stated Maturity Jun. 30, 2033
Annualized Coupon Rate 3-month LIBOR + 3.15%
Current Interest Rate 3.40%
Date of Rate Change Dec. 30, 2013
Payable/ Distribution Date March 30 June 30 September 30 December 30
Cathay Statutory Trust I [Member]
 
Subordinated Borrowing [Line Items]  
Issuance Date Sep. 17, 2003
Principal Balance of Notes (in Dollars) 20,619
Not Redeemable Until Sep. 17, 2008
Stated Maturity Sep. 17, 2033
Annualized Coupon Rate 3-month LIBOR + 3.00%
Current Interest Rate 3.24%
Date of Rate Change Dec. 17, 2013
Payable/ Distribution Date March 17 June 17 September 17 December 17
Cathay Capital Trust II [Member]
 
Subordinated Borrowing [Line Items]  
Issuance Date Dec. 30, 2003
Principal Balance of Notes (in Dollars) 12,887
Not Redeemable Until Mar. 30, 2009
Stated Maturity Mar. 30, 2034
Annualized Coupon Rate 3-month LIBOR + 2.90%
Current Interest Rate 3.15%
Date of Rate Change Dec. 30, 2013
Payable/ Distribution Date March 30 June 30 September 30 December 30
Cathay Capital Trust III [Member]
 
Subordinated Borrowing [Line Items]  
Issuance Date Mar. 28, 2007
Principal Balance of Notes (in Dollars) 46,392
Not Redeemable Until Jun. 15, 2012
Stated Maturity Jun. 15, 2037
Annualized Coupon Rate 3-month LIBOR + 1.48%
Current Interest Rate 1.72%
Date of Rate Change Dec. 16, 2013
Payable/ Distribution Date March 15 June 15 September 15 December 15
Cathay Capital Trust IV [Member]
 
Subordinated Borrowing [Line Items]  
Issuance Date May 31, 2007
Principal Balance of Notes (in Dollars) $ 20,619
Not Redeemable Until Sep. 06, 2012
Stated Maturity Sep. 06, 2037
Annualized Coupon Rate 3-month LIBOR 1.40%
Current Interest Rate 1.64%
Date of Rate Change Dec. 06, 2013
Payable/ Distribution Date March 6 June 6 September 6 December 6