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Note 16 - Stockholders' Equity (Tables)
3 Months Ended 9 Months Ended
Sep. 30, 2014
Sep. 30, 2014
Stockholders' Equity Note [Abstract]    
Schedule of Accumulated Other Comprehensive Income (Loss) [Table Text Block]
   

Three months ended September 30, 2014

   

Three months ended September 30, 2013

 
   

Pre-tax

   

Tax expense/(benefit)

   

Net-of-tax

   

Pre-tax

   

Tax expense/(benefit)

   

Net-of-tax

 

 

 

(In thousands)

 
Beginning balance, loss net of tax      

Securities available-for sale

                  $ (8,896 )                   $ (15,073 )

Cash flow hedge derivatives

                    -                       -  

Total

                  $ (8,896 )                   $ (15,073 )

Net unrealized gains/(losses) arising during the period

                                               

Securities available-for sale

  $ 292     $ 122     $ 170     $ (1,854 )   $ (780 )   $ (1,074 )

Cash flow hedge derivatives

    171       71       100       -       -       -  

Total

    463       193       270       (1,854 )     (780 )   $ (1,074 )

Reclassification adjustment for net losses in net income

                                               

Securities available-for sale

    (361 )     (152 )     (209 )     (8,688 )     (3,652 )     (5,036 )

Cash flow hedge derivatives

    -       -       -       -       -       -  

Total

    (361 )     (152 )     (209 )     (8,688 )     (3,652 )     (5,036 )

Total other comprehensive (loss)/income

                                               

Securities available-for sale

    (69 )     (30 )     (39 )     (10,542 )     (4,432 )     (6,110 )

Cash flow hedge derivatives

    171       71       100       -       -       -  

Total

  $ 102     $ 41     $ 61     $ (10,542 )   $ (4,432 )   $ (6,110 )

Ending balance, (loss)/income net of tax

                                               

Securities available-for sale

                  $ (8,935 )                   $ (21,183 )

Cash flow hedge derivatives

                    100                       -  

Total

                  $ (8,835 )                   $ (21,183 )
   

Nine months ended September 30, 2014

   

Nine months ended September 30, 2013

 
   

Pre-tax

   

Tax expense/(benefit)

   

Net-of-tax

   

Pre-tax

   

Tax expense/(benefit)

   

Net-of-tax

 

 

 

(In thousands)

 
Beginning balance, (loss)/income net of tax      

Securities available-for sale

                  $ (29,729 )                   $ 465  

Cash flow hedge derivatives

                    -                       -  

Total

                  $ (29,729 )                   $ 465  

Net unrealized gains/(losses) arising during the period

                                               

Securities available-for sale

  $ 43,157     $ 18,143     $ 25,014     $ (48,245 )   $ (20,282 )   $ (27,963 )

Cash flow hedge derivatives

    (281 )     (118 )     (163 )     -       -       -  

Total

    42,876       18,025       24,851       (48,245 )     (20,282 )   $ (27,963 )

Reclassification adjustment for net losses in net income

                                               

Securities available-for sale

    (6,827 )     (2,870 )     (3,957 )     (27,157 )     (11,417 )     (15,740 )

Cash flow hedge derivatives

    -       -       -       -       -       -  

Total

    (6,827 )     (2,870 )     (3,957 )     (27,157 )     (11,417 )     (15,740 )

Net unrealized gains arising from transferring securities held-to-maturity to available-for-sale

    -       -       -       38,052       15,997       22,055  

Total other comprehensive income/(loss)

                                               

Securities available-for sale

    36,330       15,273       21,057       (37,350 )     (15,702 )     (21,648 )

Cash flow hedge derivatives

    (281 )     (118 )     (163 )     -       -       -  

Total

  $ 36,049     $ 15,155     $ 20,894     $ (37,350 )   $ (15,702 )   $ (21,648 )

Ending balance, loss net of tax

                                               

Securities available-for sale

                  $ (8,672 )                   $ (21,183 )

Cash flow hedge derivatives

                    (163 )                     -  

Total

                  $ (8,835 )                   $ (21,183 )