Quarterly report pursuant to Section 13 or 15(d)

BORROWINGS (Contractual Maturities of Long-Term Debt) (Details)

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BORROWINGS (Contractual Maturities of Long-Term Debt) (Details) - USD ($)
$ in Thousands
Jun. 30, 2019
Dec. 31, 2018
Fair Value Premium (Discount)    
For the remaining six months of 2019 $ (321)  
2020 (834)  
2021 (1,008)  
2022 (1,030)  
2023 (1,053)  
Thereafter (12,238)  
Total long-term borrowings (16,484)  
Prepayment Penalty    
For the remaining six months of 2019 (1,024)  
2020 (2,074)  
2021 (2,119)  
2022 (1,707)  
2023 0  
Thereafter 0  
Total long-term borrowings (6,924)  
Total Long-term Borrowings    
For the remaining six months of 2019 58,655  
2020 27,092  
2021 (3,127)  
2022 137,263  
2023 (1,053)  
Thereafter 1,001,421  
Total long-term borrowings 1,220,251 $ 668,481
Trust Preferred Capital Notes    
Total Long-term Borrowings, Gross    
For the remaining six months of 2019 0  
2020 0  
2021 0  
2022 0  
2023 0  
Thereafter 155,159  
Total long-term borrowings 155,159  
Subordinated Debt    
Total Long-term Borrowings, Gross    
For the remaining six months of 2019 0  
2020 0  
2021 0  
2022 0  
2023 0  
Thereafter 158,500  
Total long-term borrowings 158,500  
FHLB Advances    
Total Long-term Borrowings, Gross    
For the remaining six months of 2019 60,000  
2020 30,000  
2021 0  
2022 140,000  
2023 0  
Thereafter 700,000  
Total long-term borrowings $ 930,000