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Note 11 - Other Borrowings and Subordinated Debentures (Tables)
12 Months Ended
Dec. 31, 2017
Notes Tables  
Schedule of Debt [Table Text Block]
(In thousands)   2017   2016
         
Other Borrowings                
FHLB advances, net of discount, due 2018 to 2033, 1.20% to 7.37% secured by residential real estate loans   $
1,261,642
    $
225,230
 
Revolving credit agreement, due 10/5/2018, floating rate of 1.50% above the one month LIBOR rate, unsecured    
75,000
     
--
 
Notes payable, due 10/15/2020, 3.85%, fixed rate, unsecured    
43,382
     
47,929
 
Total other borrowings    
1,380,024
     
273,159
 
                 
Subordinated Debentures                
Trust preferred securities, due 12/30/2033, floating rate of 2.80% above the three month LIBOR rate, reset quarterly, callable without penalty    
20,620
     
20,620
 
Trust preferred securities, net of discount, due 6/30/2035, floating rate of 1.75% above the three month LIBOR rate, reset quarterly, callable without penalty    
9,327
     
9,225
 
Trust preferred securities, net of discount, due 9/15/2037, floating rate of 1.37% above the three month LIBOR rate, reset quarterly    
10,284
     
10,130
 
Trust preferred securities, net of discount, due 12/5/2033, floating rate of 2.88% above the three month LIBOR rate, reset quarterly, callable without penalty    
5,156
     
5,161
 
Trust preferred securities, net of discount, due 10/18/2034, floating rate of 2.00% above the three month LIBOR rate, reset quarterly, callable without penalty    
5,148
     
5,105
 
Trust preferred securities, net of discount, due 6/6/2037, floating rate of 1.57% above the three month LIBOR rate, reset quarterly, callable without penalty    
10,288
     
10,156
 
Trust preferred securities, due 12/15/2035, floating rate of 1.45% above the three month LIBOR rate, reset quarterly, callable without penalty    
6,702
     
--
 
Trust preferred securities, due 6/26/2033, floating rate of 3.10% above the three month LIBOR rate, reset quarterly, callable without penalty    
20,619
     
--
 
Trust preferred securities, due 10/7/2033, floating rate of 2.85% above the three month LIBOR rate, reset quarterly, callable without penalty    
25,774
     
--
 
Trust preferred securities, due 9/15/2037, floating rate of 2.00% above the three month LIBOR rate, reset quarterly, callable without penalty    
8,248
     
--
 
Other subordinated debentures, net of discount, due 9/30/2023, floating rate equal to daily average of prime rate, reset quarterly    
18,399
     
--
 
Total subordinated debentures    
140,565
     
60,397
 
Total other borrowings and subordinated debentures   $
1,520,589
    $
333,556
 
Schedule of Maturities of Long-term Debt [Table Text Block]
Year   (In thousands)
     
2018   $
23,093
 
2019    
7,486
 
2020    
36,222
 
2021    
2,165
 
2022    
1,314
 
Thereafter    
148,307
 
         
 Total   $
218,587