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Note 12 - Derivative Financial Instruments (Tables)
3 Months Ended
Mar. 31, 2019
Notes Tables  
Schedule of Derivative Instruments [Table Text Block]
    March 31, 2019   December 31, 2018
    Notional
Amount
  Net Carrying
Value
(1)
  Notional
Amount
  Net Carrying
Value
(1)
    (In thousands)
                 
Interest rate swaps (fair value hedge)   $
189,307
    $
5,736
    $
248,330
    $
10,593
 
Interest rate swaps (fair value hedge)    
76,536
     
(1,759
)    
19,468
     
(502
)
Interest rate swaps (cash flow hedge)    
250,000
     
738
     
441,500
     
5,368
 
Interest rate swaps (cash flow hedge)    
191,500
     
(450
)    
-  
     
-  
 
Interest rate swaps (non-hedge)    
36,321
     
(2,787
)    
36,321
     
(1,737
)
Total derivatives   $
743,664
    $
1,478
    $
745,619
    $
13,722
 
Derivative Instruments, Gain (Loss) [Table Text Block]
    For the three months ended
March 31,
(In thousands)   2019   2018
         
Financial Derivatives:                
Interest rate swaps (non-hedge)
(1)
  $
(1,050
)   $
1,276
 
Interest rate swaps (fair value hedge)
(2)
   
(637
)    
454
 
Net (loss) gain   $
(1,687
)   $
1,730
 
Schedule of Derivative Instruments in Statement of Financial Position, Fair Value [Table Text Block]
    March 31, 2019  
                      Gross Amounts Not Offset in the Consolidated Statement of Condition        
(In thousands)  
Gross Amount of
Recognized Assets
    Gross Amount Offset in the Statement of Condition    
Net Amount of
Assets Presented in
the Statement of
Condition
   
Financial
Instruments
   
Cash Collateral
Received
    Net Amount  
                                                 
Interest rate swaps   $
6,474
    $
-  
    $
6,474
    $
-  
    $
570
    $
5,904
 
                      Gross Amounts Not Offset in the Consolidated Statement of Condition        
(In thousands)  
Gross Amount of
Recognized
Liabilities
   
Gross Amount Offset
in the Statement of
Condition
   
Net Amount of
Liabilities Presented
in the Statement of
Condition
   
Financial
Instruments
   
Cash Collateral
Pledged
    Net Amount  
                                                 
Interest rate swaps   $
4,996
    $
-  
    $
4,996
    $
430
    $
-  
    $
4,566
 
    December 31, 2018  
                      Gross Amounts Not Offset in the Consolidated Statement of Condition        
(In thousands)  
Gross Amount of
Recognized Assets
   
Gross Amount Offset
in the Statement of
Condition
   
Net Amount of
Assets Presented in
the Statement of
Condition
   
Financial
Instruments
   
Cash Collateral
 
Received
    Net Amount  
                                                 
Interest rate swaps   $
15,961
    $
-  
    $
15,961
    $
-  
    $
14,960
    $
1,001
 
                      Gross Amounts Not Offset in the Consolidated Statement of Condition        
(In thousands)  
Gross Amount of
Recognized
Liabilities
   
Gross Amount Offset
in the Statement of
Condition
   
Net Amount of
Liabilities Presented
in the Statement of
Condition
   
Financial
Instruments
   
Cash Collateral
Pledged
    Net Amount  
                                                 
Interest rate swaps   $
2,239
    $
-  
    $
2,239
    $
-  
    $
-  
    $
2,239