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Note 13 - Junior Subordinated Debentures (Tables)
12 Months Ended
Dec. 31, 2021
Notes Tables  
Summary of junior subordinated debentures

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2021

2020

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(dollars in thousands)

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Note Payable to QCR Holdings Capital Trust II

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$

10,310

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$

10,310

Note Payable to QCR Holdings Capital Trust III

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8,248

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8,248

Note Payable to QCR Holdings Capital Trust V

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10,310

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10,310

Note Payable to Community National Trust II*

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3,093

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3,093

Note Payable to Community National Trust III*

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3,609

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3,609

Note Payable to Guaranty Bankshares Statutory Trust I**

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4,640

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4,640

Market Value Discount per ASC 805***

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(2,055)

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(2,217)

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$

38,155

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$

37,993

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*      As part of the acquisition of Community National in 2013, the Company assumed two junior subordinated debentures with a total fair value of $4.2 million.

**   As part of the acquisition of Guaranty Bank in 2017, the Company assumed one junior subordinated debenture with a fair value of $3.9 million.

***  Market value discount includes discount on junior subordinated debt acquired as described in * and **.

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Schedule of Company's non-consolidated subsidiaries formed for the issuance of trust preferred securities

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Amount

    

Amount

    

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Outstanding

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Outstanding

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December 31, 

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December 31, 

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Interest Rate as of

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Interest Rate as of

 

Name

Date Issued

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2021

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2020

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Interest Rate

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December 31, 2021

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December 31, 2020

 

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(dollars in thousands)

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QCR Holdings Statutory Trust II*

February 2004

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$

10,310

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$

10,310

 

2.85% over 3-month LIBOR

 

3.07

%  

3.10

%

QCR Holdings Statutory Trust III

February 2004

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8,248

​

 

8,248

 

2.85% over 3-month LIBOR

 

3.07

%  

3.10

%

QCR Holdings Statutory Trust V

February 2006

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10,310

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10,310

 

1.55% over 3-month LIBOR

 

1.67

%  

1.79

%

Community National Statutory Trust II

September 2004

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3,093

​

 

3,093

 

2.17% over 3-month LIBOR

 

2.38

%  

2.41

%

Community National Statutory Trust III

March 2007

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3,609

​

 

3,609

 

1.75% over 3-month LIBOR

 

1.95

%  

1.97

%

Guaranty Bankshares Statutory Trust I

May 2005

​

 

4,640

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4,640

 

1.75% over 3-month LIBOR

 

1.95

%  

1.97

%

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$

40,210

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$

40,210

 

Weighted Average Rate

 

2.43

%  

2.48

%

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*    Original amount issued for QCR Holdings Statutory Trust II was $12,372,000.