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Subordinated Notes (Tables)
12 Months Ended
Dec. 31, 2019
Debt Disclosure [Abstract]  
Summary of Terms of Each Subordinated Note offering
The following table summarizes the terms of each subordinated note offering:
March 2016
Subordinated
Notes
June 2016
Subordinated
Notes
Principal amount issued$40,000  $20,000  
Maturity date †March 30, 2026July 1, 2026
Initial fixed interest rate6.875%  7.00%  
Initial interest rate period5 years5 years
First interest rate change dateMarch 30, 2021July 1, 2021
Interest payment frequency through year five*SemiannuallySemiannually
Interest payment frequency after five years*QuarterlyQuarterly
Interest repricing index and margin
3-month LIBOR
plus 5.636%
3-month LIBOR
plus 6.04%
Repricing frequency after five yearsQuarterlyQuarterly
* Prior to January 14, 2019, the Company could not make interest payments on either series of subordinated notes without prior written approval from its primary regulatory agencies. Banking regulators terminated, effective as of January 14, 2019, the MOU previously entered into with the Bank.
† The March 2016 Subordinated Notes are redeemable at the Company’s option in whole or in part on or after March 30, 2021, and the June 2016 Subordinated Notes are redeemable at the Company’s option in whole or in part on or after July 1, 2021.