At June 30, 2018, the Company had the following derivative instruments (dollars in thousands): | | | | | | | | | | | | | | | | | | | Type | | Quantity | | Effective Dates | | Maturity Dates | | Hedge Interest Rates | | Notional Amount | | Adjusted Fair Market Value | Interest rate swap | | 1 |
| | 5/21/2018 | | 9/20/2020 | | 2.69% | | $ | 110,242 |
| | $ | (165 | ) | Interest rate swaps | | 2 |
| | 4/29/2016 - 12/30/2016 | | 8/31/2022 - 9/30/2022 | | 1.27%- 2.37% | | $ | 25,726 |
| | $ | 826 |
| Interest rate swaps | | 10 |
| | 7/31/2017 - 1/31/2019 | | 4/30/2024 - 10/31/2024 | | 2.16%- 2.69% | | $ | 342,631 |
| | $ | 9,241 |
| Interest rate swaps | | 3 |
| | 4/30/2021 | | 10/30/2026 - 10/31/2026 | | 2.89% - 3.08% | | $ | 102,720 |
| | $ | (426 | ) | Interest rate swaps | | 4 |
| | 4/30/2015 | | 10/31/2028 | | 2.17%-2.18% | | $ | 124,492 |
| | $ | 5,581 |
| Interest rate swap | | 1 |
| | 9/20/2020 | | 6/20/2030 | | 2.57% | | $ | 67,013 |
| | $ | 963 |
| Interest rate swap | | 1 |
| | 9/30/2022 | | 9/30/2031 | | 3.23% | | $ | 8,642 |
| | $ | (101 | ) | Interest rate swap | | 1 |
| | 9/20/2020 | | 4/20/2032 | | 2.60% | | $ | 33,409 |
| | $ | 530 |
| Interest rate swaps | | 5 |
| | 1/31/2019 - 10/31/2024 | | 7/31/2034 | | 2.48% - 3.04% | | $ | 144,379 |
| | $ | 3,010 |
| Interest rate swaps | | 5 |
| | 7/31/2017 - 4/30/2024 | | 7/31/2035 | | 2.56% - 2.95% | | $ | 151,869 |
| | $ | 1,880 |
| Interest rate swaps | | 5 |
| | 1/31/2018 - 10/18/2024 | | 10/31/2036 | | 2.62% - 2.95% | | $ | 182,267 |
| | $ | 2,049 |
| Interest rate swaps | | 3 |
| | 10/30/2026 - 10/31/2026 | | 1/31/2038 | | 3.01% - 3.16% | | $ | 101,135 |
| | $ | (568 | ) |
|