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Borrowed Funds - Junior Subordinated Debentures Outstanding (Details) - USD ($)
$ in Thousands
3 Months Ended 12 Months Ended
Mar. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Subordinated Borrowing [Line Items]      
Junior Subordinated Debentures Amount Outstanding $ 360,362 $ 360,259 $ 359,866
Capital Securities Amount Outstanding $ 347,585 $ 347,482  
New York Community Capital Trust V (BONUSESSM Units)      
Subordinated Borrowing [Line Items]      
Interest Rate of Capital Securities and Debentures 6.00% 6.00%  
Junior Subordinated Debentures Amount Outstanding $ 146,436 $ 146,333  
Capital Securities Amount Outstanding $ 140,085 $ 139,982  
Date of Original Issue Nov. 04, 2002 Nov. 04, 2002  
Stated Maturity Nov. 01, 2051 Nov. 01, 2051  
First Optional Redemption Date [1] Nov. 04, 2007 Nov. 04, 2007  
New York Community Capital Trust X      
Subordinated Borrowing [Line Items]      
Interest Rate of Capital Securities and Debentures 1.78% 1.82%  
Junior Subordinated Debentures Amount Outstanding $ 123,712 $ 123,712  
Capital Securities Amount Outstanding $ 120,000 $ 120,000  
Date of Original Issue Dec. 14, 2006 Dec. 14, 2006  
Stated Maturity Dec. 15, 2036 Dec. 15, 2036  
First Optional Redemption Date [2] Dec. 15, 2011 Dec. 15, 2011  
PennFed Capital Trust III      
Subordinated Borrowing [Line Items]      
Interest Rate of Capital Securities and Debentures 3.43% 3.47%  
Junior Subordinated Debentures Amount Outstanding $ 30,928 $ 30,928  
Capital Securities Amount Outstanding $ 30,000 $ 30,000  
Date of Original Issue Jun. 02, 2003 Jun. 02, 2003  
Stated Maturity Jun. 15, 2033 Jun. 15, 2033  
First Optional Redemption Date [2] Jun. 15, 2008 Jun. 15, 2008  
New York Community Capital Trust XI      
Subordinated Borrowing [Line Items]      
Interest Rate of Capital Securities and Debentures 1.85% 1.89%  
Junior Subordinated Debentures Amount Outstanding $ 59,286 $ 59,286  
Capital Securities Amount Outstanding $ 57,500 $ 57,500  
Date of Original Issue Apr. 16, 2007 Apr. 16, 2007  
Stated Maturity Jun. 30, 2037 Jun. 30, 2037  
First Optional Redemption Date [2] Jun. 30, 2012 Jun. 30, 2012  
[1] Callable subject to certain conditions as described in the prospectus filed with the SEC on November 4, 2002.
[2] Callable from this date forward.