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Note 9 - Borrowed Funds and Securities Sold Under Agreements to Repurchase (Tables)
12 Months Ended
Dec. 31, 2015
Disclosure Text Block [Abstract]  
Schedule of Repurchase Agreements [Table Text Block]
    2015   2014
    Amount   Weighted
Average
Rate
  Amount   Weighted
Average
Rate
    (Dollars in thousands)
                 
Repurchase agreements - fixed rate:                                
Due in 2016   $ 38,000       1.92 %   $ 38,000       1.92 %
Due in 2017     38,000       4.16       38,000       4.16  
Due in 2020     40,000       3.45       40,000       3.45  
                                 
Total repurchase agreements - fixed rate     116,000       3.18       116,000       3.18  
                                 
FHLB-NY advances - fixed rate:                                
Due in 2015     -       -       185,551       0.80  
Due in 2016     386,152       1.04       315,847       1.15  
Due in 2017     250,708       1.29       305,525       2.12  
Due in 2018     265,088       1.30       74,798       1.29  
Due in 2019     94,710       1.64       30,000       1.83  
Due in 2020     110,000       2.98       -       -  
Total FHLB-NY advances - fixed rate     1,106,658       1.40       911,721       1.44  
                                 
Other Borrowings                                
Due in 2016     20,000       0.56       -       -  
                                 
Junior subordinated debentures - adjustable rate                                
Due in 2037     29,018       5.67       28,771       5.96  
                                 
Total borrowings   $ 1,271,676       1.65 %   $ 1,056,492       1.75 %
Schedule of Borrowings Which Have Call Provisions [Table Text Block]
    Amount   Rate   Maturity Date   Call Date
    (Dollars in thousands)
FHLB-NY advances - fixed rate   $ 30,000       3.60 %     1/23/2020       1/23/2016  
FHLB-NY advances - fixed rate     20,000       3.49       1/23/2020       1/25/2016  
FHLB-NY advances - fixed rate     10,000       3.37       1/27/2020       1/26/2016  
FHLB-NY advances - fixed rate     10,000       3.28       1/27/2020       1/26/2016  
FHLB-NY advances - fixed rate     10,000       3.25       1/28/2020       1/28/2016  
Repurchase agreements - fixed rate     20,000       2.20       7/12/2016       1/12/2016  
Repurchase agreements - fixed rate     18,000       4.28       10/18/2017       1/19/2016  
Repurchase agreements - fixed rate     18,000       1.60       4/19/2016       1/19/2016  
Repurchase agreements - fixed rate     10,000       3.08       8/1/2020       2/1/2016  
Repurchase agreements - fixed rate     10,000       3.19       2/1/2020       2/1/2016  
Repurchase agreements - fixed rate     20,000       3.76       8/1/2020       2/1/2016  
Repurchase agreements - fixed rate     20,000       4.05       9/19/2017       3/21/2016  
Information Relating to Collateralized Repurchase Agreements [Table Text Block]
    2015   2014   2013
    (Dollars in thousands)
Book value of collateral   $ 131,421     $ 142,925     $ 199,447  
Estimated fair value of collateral     131,421       142,925       199,447  
Average balance of outstanding agreements during the year     116,000       137,824       172,944  
Maximum balance of outstanding agreements at a month end during the year     116,000       155,300       185,300  
Average interest rate of outstanding agreements during the year (1)     3.22 %     5.37 %     3.42 %
Terms of Securities Issued by Trusts [Table Text Block]
    Flushing Financial
Capital Trust II
  Flushing Financial
Capital Trust III
  Flushing Financial
Capital Trust IV
Issue Date     June 20, 2007       June 21, 2007       July 3, 2007  
Initial Rate     7.14 %     6.89 %     6.85 %
First Reset Date     September 1, 2012       June 15, 2012       July 30, 2012  
Spread over 3-month LIBOR     1.41 %     1.44 %     1.42 %
Maturity Date     September 1, 2037       September 15, 2037       July 30, 2037