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Note 14 - Derivatives (Tables)
9 Months Ended
Sep. 30, 2015
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Summary of Notional Amount Effective Dates and Maturity Dates [Table Text Block]

(Amounts in thousands)

                           
                       

Description

 

We Pay Fixed

   

We Receive Variable (1)

   

Notional Amount

 

Effective Date

Maturity Date

Interest rate swap - active #1

    2.64

%

    0.30 %   $ 75,000  

August 3, 2015

August 1, 2016

Forward starting interest rate swap #2

    3.22

%

 

Variable

    $ 75,000  

August 1, 2016

August 1, 2017

Schedule of Derivative Instruments in Statement of Financial Position, Fair Value [Table Text Block]
       

Asset Derivatives

   

Liability Derivatives

 

(Amounts in thousands)

     

September 30,

   

December 31,

   

September 30,

   

December 31,

 

Description

 

Designation

 

2015

   

2014

   

2015

   

2014

 

Interest rate swap - matured

 

Cash flow hedge

  $     $     $     $ 880  

Interest rate swap - active #1

 

Cash flow hedge

                1,384       1,298  

Forward starting interest rate swap #2

 

Cash flow hedge

                1,752       1,046  

Total

  $     $     $ 3,136     $ 3,224  
Derivative Instruments, Gain (Loss) [Table Text Block]

(Amounts in thousands)

     

Three Months Ended
September 30,

   

Nine Months Ended
September 30,

 

Description

 

Consolidated Statement of Operations Location

 

2015

   

2014

   

2015

   

2014

 

Interest rate swap (1)

 

Interest on Federal Home Loan Bank of San Francisco borrowings

  $ (410 )   $     $ (997 )   $  

Forward starting interest rate swap (2)

 

Interest on Federal Home Loan Bank of San Francisco borrowings

          22             283  

Forward starting interest rate swap (3)

 

Other noninterest income

                      1,617  

Total

  $ (410 )   $ 22     $ (997 )   $ 1,900  
Reclassification out of Accumulated Other Comprehensive Income [Table Text Block]

(Amounts in thousands)

 

Three Months Ended September 30,

   

Nine Months Ended September 30,

 

Description

 

2015

   

2014

   

2015

   

2014

 

Interest rate swaps

  $ (241 )   $ 12     $ (591 )   $ 1,117  
Estimated Reclassification out of Accumulated Other Comprehensive Income [Table Text Block]

(Amounts in thousands)

 

Interest Rate Shock

 

Description

 

Flat

   

+100bp

   

+200bp

 

Reclassifications from accumulated other comprehensive income

  $ 1,054     $ 613     $ 171  
Schedule of Amounts Recognized in Balance Sheet [Table Text Block]
                   

Gross Amounts Not Offset In The
Consolidated Balance Sheets

         

(Amounts in thousands)

 

Gross Amounts of Recognized Assets / (Liabilities)

   

Gross Amounts Offset In The Consolidated Balance Sheets

   

Net Amounts of Assets / (Liabilities) Included In The Consolidated Balance Sheets

   

Fair Value of Collateral Posted

   

Net Amount

 

September 30, 2015

                                       

Derivative liabilities

                                       

Interest rate swaps

  $ (3,136 )   $     $ (3,136 )   $ 4,497     $ 1,361  
                                         

December 31, 2014

                                       

Derivative liabilities

                                       

Interest rate swaps

  $ (3,224 )   $     $ (3,224 )   $ 3,533     $ 309