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Note 19 - Derivative Financial Instruments (Tables)
12 Months Ended
Dec. 31, 2015
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Derivative Instruments [Table Text Block]
    At or for the year ended December 31, 2015
    Notional
Amount
  Net Carrying
Value (1)
    (In thousands)
         
Interest rate swaps (non-hedge)   $ 36,321     $ (2,799 )
Interest rate swaps (hedge)     28,588       48  
Interest rate swaps (hedge)     99,955       (1,515 )
Total derivatives   $ 164,864     $ (4,266 )
    At or for the year ended December 31, 2014
    Notional
Amount
  Net Carrying
Value (1)
    (In thousands)
         
Interest rate swaps (non-hedge)   $ 36,321     $ (2,239 )
Interest rate swaps (hedge)     4,131       84  
Interest rate swaps (hedge)     10,340       (410 )
Total derivatives   $ 50,792     $ (2,565 )
Derivative Instruments, Gain (Loss) [Table Text Block]
    For the year ended
December 31,
(In thousands)   2015   2014   2013
             
Financial Derivatives:                        
Interest rate caps (non-hedge)   $ -     $ -     $ (18 )
Interest rate swaps (non-hedge)     (561 )     (3,919 )     3,603  
Interest rate swaps (hedge)     (1,036 )     (124 )     29  
Net Gain (loss) (1)   $ (1,597 )   $ (4,043 )   $ 3,614  
Schedule of Derivative Instruments in Statement of Financial Position, Fair Value [Table Text Block]
    December 31, 2015
                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   $ 48     $ -     $ 48     $ 48     $ -     $ -  
    December 31, 2014
                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   $ 84     $ -     $ 84     $ 84     $ -     $ -  
    December 31, 2015
                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   $ 4,314     $ -     $ 4,314     $ 48     $ 4,266     $ -  
    December 31, 2014
                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   $ 2,649     $ -     $ 2,649     $ 84     $ 2,565     $ -