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Fair Value (Details 4)
$ in Thousands
12 Months Ended
Dec. 31, 2015
USD ($)
Issurers_Currently_Performing
Dec. 31, 2014
USD ($)
Issurers_Currently_Performing
Additional information related to the Company's trust preferred securities    
Available-for-sale Securities, Amortized Cost $ 154,124 $ 161,703
Total debt securities, Fair Value $ 153,901 $ 162,247
PreTSL XXIII | Moodys B2 Rating | Fitch C Rating    
Additional information related to the Company's trust preferred securities    
Class C-2 C-2
Available-for-sale Securities, Amortized Cost $ 780 $ 802
Total debt securities, Fair Value 332 313
Unrealized Gain/(Loss) $ (448) $ (489)
Number of Issuers Currently Performing | Issurers_Currently_Performing 90 91
Deferrals and Defaults as a % of Current Collateral 22.50% 25.20%
Excess Subordination as a % of Current Performing Collateral 1.77%  
Trapeza IX | Moodys Ca Rating | Fitch C C Rating    
Additional information related to the Company's trust preferred securities    
Class B-1 B-1
Available-for-sale Securities, Amortized Cost $ 860 $ 860
Total debt securities, Fair Value 446 466
Unrealized Gain/(Loss) $ (414) $ (394)
Number of Issuers Currently Performing | Issurers_Currently_Performing 31 33
Deferrals and Defaults as a % of Current Collateral 18.50% 18.10%
Trust preferred securities    
Additional information related to the Company's trust preferred securities    
Available-for-sale Securities, Amortized Cost $ 1,640 $ 1,662
Total debt securities, Fair Value 778 779
Unrealized Gain/(Loss) $ (862) $ (883)