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Note 11 - Fair Value of Financial Instruments - Financial Assets and Liabilities Reported Under the Fair Value Option (Details) - USD ($)
3 Months Ended 9 Months Ended
Sep. 30, 2016
Sep. 30, 2015
Sep. 30, 2016
Sep. 30, 2015
Dec. 31, 2015
Collateralized Mortgage Backed Securities [Member]          
Financial Assets at Fair Value Option $ 2,166,000   $ 2,166,000   $ 2,527,000
Net loss from fair value adjustments (6,000) (4,000) $ (36,000)  
Other Securities [Member]          
Financial Assets at Fair Value Option 28,551,000   28,551,000   28,205,000
Net loss from fair value adjustments (30,000) 59,000 156,000 148,000  
Borrowed Funds [Member]          
Net loss from fair value adjustments (296,000) 987,000 1,250,000 282,000  
Financial Liabilities at Fair Value Option 27,791,000   27,791,000   29,018,000
Financial Assets and Liabilities, Excluding Interest Rate Caps / Swaps [Member]          
Net loss from fair value adjustments [1],[2] (332,000) 1,046,000 1,402,000 394,000  
Financial Assets at Fair Value Option 30,700,000   30,700,000   30,700,000
Net loss from fair value adjustments (823,000) $ (1,094,000) (2,925,000) $ (921,000)  
Financial Liabilities at Fair Value Option $ 27,800,000   $ 27,800,000   $ 29,000,000
[1] The net gain (loss) from fair value adjustments presented in the above table does not include net losses of $0.5 million and $2.1 million for the three months ended September 30, 2016 and 2015, respectively, from the change in the fair value of interest rate swaps.
[2] The net gain (loss) from fair value adjustments presented in the above table does not include net losses of $4.3 million and $1.3 million for the nine months ended September 30, 2016 and 2015, respectively, from the change in the fair value of interest rate swaps.