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JUNIOR SUBORDINATED DEBENTURES (Tables)
3 Months Ended
Jun. 30, 2021
JUNIOR SUBORDINATED DEBENTURES  
Schedule of summary of the terms and amounts outstanding of the debentures

The following table is a summary of the terms and the amounts outstanding of the Debentures at June 30, 2021 (dollars in thousands):

Issuance Trust

    

Issuance 

Date

    

Amount 

Outstanding

    

Rate 

Type

    

Initial 

Rate

    

Current 

Rate

    

Maturity 

Date

Riverview Bancorp

Statutory Trust I

 

12/2005

$

7,217

 

Variable

(1)

5.88

%  

1.48

%  

3/2036

Riverview Bancorp

Statutory Trust II

 

06/2007

 

15,464

 

Variable

(2)

7.03

%  

1.47

%  

9/2037

Merchants Bancorp

Statutory Trust I (4)

 

06/2003

 

5,155

 

Variable

(3)

4.16

%  

3.25

%  

6/2033

 

27,836

Fair value adjustment (4)

 

(1,066)

 

  

 

  

 

  

 

  

Total Debentures

$

26,770

 

  

 

  

 

  

 

  

(1)The trust preferred securities reprice quarterly based on the three-month LIBOR plus 1.36%.
(2)The trust preferred securities reprice quarterly based on the three-month LIBOR plus 1.35%.
(3)The trust preferred securities reprice quarterly based on the three-month LIBOR plus 3.10%.
(4)Amount, net of accretion, attributable to a prior year’s business combination.