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Note 5 - Junior Subordinated Debentures (Tables)
9 Months Ended
Sep. 30, 2013
Debt Disclosure [Abstract]  
Schedule of Debt [Table Text Block]
   

2013

   

2012

 
                 

Note Payable to QCR Holdings Capital Trust II

  $ 12,372,000     $ 12,372,000  

Note Payable to QCR Holdings Capital Trust III

    8,248,000       8,248,000  

Note Payable to QCR Holdings Capital Trust IV

    5,155,000       5,155,000  

Note Payable to QCR Holdings Capital Trust V

    10,310,000       10,310,000  

Note Payable to Community National Trust II

    3,093,000       -  

Note Payable to Community National Trust III

    3,609,000       -  

Market Value Discount per ASC 805

    (2,529,562 )     -  
    $ 40,257,438     $ 36,085,000  
Schedule of Long-term Debt Instruments [Table Text Block]

Name

Date Issued

 

Amount Issued

 

Interest Rate

 

Interest Rate as of 9/30/2013

   

Interest Rate as of 12/31/2012

 
                             

QCR Holdings Statutory Trust II

February 2004

  $ 12,372,000  

2.85% over 3-month LIBOR

    3.12%       3.21%  

QCR Holdings Statutory Trust III

February 2004

    8,248,000  

2.85% over 3-month LIBOR

    3.12%       3.21%  

QCR Holdings Statutory Trust IV

May 2005

    5,155,000  

1.80% over 3-month LIBOR

    2.07%       2.14%  

QCR Holdings Statutory Trust V

February 2006

    10,310,000  

1.55% over 3-month LIBOR

    1.82%       1.89%  

Community National Statutory Trust II

September 2004

    3,093,000  

2.17% over 3-month LIBOR

    2.42%      

N/A

 

Community National Statutory Trust III

March 2007

    3,609,000  

1.75% over 3-month LIBOR

    2.00%      

N/A

 
      $ 42,787,000  

Weighted Average Rate

    2.54%       2.68%