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Derivative Financial Instruments (Details)
3 Months Ended 12 Months Ended
Jan. 03, 2017
USD ($)
derivative
Jan. 02, 2017
Mar. 31, 2017
USD ($)
Mar. 31, 2016
USD ($)
Dec. 31, 2016
USD ($)
Dec. 31, 2009
USD ($)
Derivative Financial Instruments            
After-tax unrealized gain on cash flow hedge in other comprehensive income     $ 44,000 $ 49,000    
Cash flow hedge liability     426,000   $ 797,000  
Ineffectiveness in the cash flow hedge     0 0    
Collateral provided     550,000 850,000    
5.35 % Rate of interest            
Derivative Financial Instruments            
Junior subordinated debt issued by capital trusts $ 10,000,000          
Mortgage loan pipeline            
Obligation under forward commitments, the fair value of those obligations along with the fair value of derivative instruments associated with forward commitments            
Obligation     117,666,000 115,945,000 85,445,000  
Expected closures            
Obligation under forward commitments, the fair value of those obligations along with the fair value of derivative instruments associated with forward commitments            
Obligation     $ 88,250,000 86,959,000 64,083,000  
Interest rate contracts | Cash flow hedge            
Derivative Financial Instruments            
Fixed rate payable on notional amount (as a percent)     4.06%      
Notional amount           $ 8,000,000
Fixed interest rate on interest rate swap (as a percent)     4.06%      
Mortgage servicing rights hedging | Non-designated hedges            
Derivative Financial Instruments            
Notional amount     $ 98,000,000   121,000,000  
Estimated gain (loss) on fair value of open contracts related to mortgage servicing rights     (214,000)   150,000  
Mortgage loan pipeline commitments            
Obligation under forward commitments, the fair value of those obligations along with the fair value of derivative instruments associated with forward commitments            
Obligation     2,066,000 2,187,000 1,037,000  
Forward sales commitments            
Obligation under forward commitments, the fair value of those obligations along with the fair value of derivative instruments associated with forward commitments            
Obligation     114,079,000 106,000,000 97,092,000  
Fair value of forward commitments     $ 387,000 $ 461,000 $ (1,366,000)  
SBFC | Junior Subordinated Debt            
Derivative Financial Instruments            
Junior subordinated debt issued by capital trusts $ 20,600,000          
SBFC | 3 month LIBOR            
Derivative Financial Instruments            
Spread on variable rate basis on junior subordinated debt (as a percent) (2.36%) 1.40%        
SBFC | Interest rate contracts            
Derivative Financial Instruments            
Notional amount $ 10,000,000          
Number of interest rate swaps acquired | derivative 2          
SBFC | Interest rate contracts | 5.35 % Rate of interest            
Derivative Financial Instruments            
Fixed rate payable on notional amount (as a percent) 5.35%          
Fixed interest rate on interest rate swap (as a percent) 5.35%