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Borrowings (Tables)
12 Months Ended
Dec. 31, 2016
Debt Instruments [Abstract]  
Schedule Of Repurchase Agreement Counterparty [Table Text Block]
December 31,
20162015
Fair Value ofFair Value of
BorrowingUnderlyingBorrowingUnderlying
BalanceCollateralBalanceCollateral
(In thousands)
PR Cash and Money Market Fund$70,010$74,538$-$-
JP Morgan Chase Bank NA350,219376,674262,500283,483
Credit Suisse Securities (USA) LLC232,000249,286670,000737,887
Total$652,229$700,498$932,500$1,021,370
Schedule of Repurchase Agreement by Maturity [Table text Block]
Weighted-
Borrowing Average Maturity
Year of MaturityBalance Coupon Settlement Date Date
(In thousands)
2017$70,0100.77%12/27/20161/3/2017
47,7190.20%12/7/20161/5/2017
232,0004.78%3/2/20073/2/2017
2018202,5001.42%12/10/20124/29/2018
201925,0001.52%12/9/20166/9/2019
75,0001.46%12/9/201612/9/2019
$652,2292.47%
Schedule of Repurchase Agreements [Table]
December 31, 2016
Market Value of Underlying Collateral
WeightedFNMA and US Treasury
RepurchaseAverageFHLMC GNMATreasury
LiabilityRateCertificatesCertificatesNotesTotal
(Dollars in thousands)
Less than 90 days$349,7293.35%$248,288$75,536$48,954$372,778
Over 90 days302,5001.44%327,62793-327,720
Total$652,2292.47%$575,915$75,629$48,954$700,498

December 31, 2015
Market Value of Underlying Collateral
WeightedFNMA and US Treasury
RepurchaseAverageFHLMC GNMATreasury
LiabilityRateCertificatesCertificatesNotesTotal
(Dollars in thousands)
Less than 90 days$30,000$0.70%31,961$-$-$31,961
Over 90 days902,5003.18%974,6982,13112,580989,409
Total$932,5003.10%$1,006,659$2,13112,5801,021,370
Repurchased Agreements Other Details[Table Text Block]
December 31,
20162015
(In thousands)
Average daily aggregate balance outstanding$663,845$1,012,756
Maximum outstanding balance at any month-end$902,500$1,158,945
Weighted average interest rate during the year2.83%2.92%
Weighted average interest rate at year end2.47%3.10%
Federal Home Loan Bank Advances Maturities Summary [Table Text Block]

December 31, 2016.

The following table shows a summary of these advances and their terms, excluding accrued interest in the amount of $300 thousand, at December 31, 2016:

Weighted-
Borrowing Average Maturity
Year of MaturityBalance Coupon Settlement Date Date
(In thousands)
2017$36,5820.69%12/1/20161/3/2017
4,0311.24%4/3/20124/3/2017
40,613
201830,0002.19%1/16/20131/16/2018
25,0002.18%1/16/20131/16/2018
55,000
20209,5412.59%7/19/20137/20/2020
$105,1541.66%