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CAPITAL RESOURCES (Tables)
12 Months Ended
Dec. 31, 2011
CAPITAL RESOURCES  
Summary of pertinent information related to outstanding junior subordinated debt issued by each Trust

 

 

 
   
   
   
  Balance at December 31,  
 
   
  Stated
Interest Rate
  Rate at
December 31,
2011
 
Trust Name
  Maturity Date(1)   2011   2010  
 
   
   
   
  (Dollars in thousands)
 

East West Capital Trust I

  March 2030   10.88%, fixed     % $   $ 10,750  

East West Capital Trust II

  July 2030   10.95%, fixed     %       10,000  

East West Capital Statutory Trust III

  December 2033   3-month Libor + 2.85%     3.41 %   10,000     10,000  

East West Capital Trust IV

  July 2034   3-month Libor + 2.55%     2.97 %   10,000     10,000  

East West Capital Trust V

  November 2034   3-month Libor + 1.80%     2.10 %   15,000     15,000  

East West Capital Trust VI

  September 2035   3-month Libor + 1.50%     2.05 %   20,000     20,000  

East West Capital Trust VII

  June 2036   3-month Libor + 1.35%     1.90 %   30,000     30,000  

East West Capital Trust VIII

  June 2037   3-month Libor + 1.40%     1.93 %   18,000     20,000  

East West Capital Trust IX

  September 2037   3-month Libor + 1.90%     2.45 %   30,000     30,000  
                         

 

                $ 133,000   $ 155,750  
                         

(1)
All of the above debt instruments are subject to various call options.