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Note 10 - Other Borrowings and Subordinated Debentures (Tables)
6 Months Ended
Jun. 30, 2015
Debt Disclosure [Abstract]  
Schedule of Debt [Table Text Block]
(In thousands)  

June 30,

2015

  December 31,
2014
         
Other Borrowings                
FHLB advances, net of discount, due 2015 to 2033, 0.35% to 7.38% secured by residential real estate loans   $ 129,749     $ 71,582  
Notes payable, due 7/31/2015 to 12/31/2016, 3.25%, floating rate, unsecured     41,572       43,100  
      171,321       114,682  
Subordinated Debentures                
Trust preferred securities, due 12/30/2033, floating rate of 2.80% above the three month LIBOR rate, reset quarterly, callable without penalty     20,620       20,620  
Trust preferred securities, net of discount, due 6/30/2035, floating rate of 1.75% above the three month LIBOR rate, reset quarterly, callable without penalty     11,110       -  
Trust preferred securities, net of discount, due 9/15/2037, floating rate of 1.37% above the three month LIBOR rate, reset quarterly     9,898       -  
Trust preferred securities, net of discount, due 12/3/2033, floating rate of 2.88% above the three month LIBOR rate, reset quarterly, callable without penalty     5,169       -  
Trust preferred securities, net of discount, due 12/13/2034, floating rate of 2.00% above the three month LIBOR rate, reset quarterly, callable without penalty     5,041       -  
Trust preferred securities, net of discount, due 6/6/2037, floating rate of 1.57% above the three month LIBOR rate, reset quarterly, callable without penalty     9,956       -  
      61,794       20,620  
Total other borrowings and subordinated debentures   $ 233,115     $ 135,302  
Schedule of Maturities of Long-term Debt [Table Text Block]
(In thousands) Year   Annual
Maturities
 
         
  2015   $ 40,545    
  2016     33,157    
  2017     75,417    
  2018     6,555    
  2019     2,742    
  Thereafter     74,699    
  Total   $ 233,115