Schedule of Junior Subordinated Debentures |
The following table provides a summary of the Company’s junior subordinated debentures as of June 30, 2025. The junior subordinated debentures represent the par value of the obligations owed to the Trusts. | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | (Dollars in thousands) | Common Securities | | Trust Preferred Securities | | Junior Subordinated Debentures | | Rate Structure (1) | | Contractual Rate at 6/30/2025 | | Issue Date | | Maturity Date | | Earliest Redemption Date | Wintrust Capital Trust III | $ | 774 | | | $ | 25,000 | | | $ | 25,774 | | | S+0.26161+3.25 | | 7.77 | % | | 04/2003 | | 04/2033 | | 04/2008 | Wintrust Statutory Trust IV | 619 | | | 20,000 | | | 20,619 | | | S+0.26161+2.80 | | 7.36 | % | | 12/2003 | | 12/2033 | | 12/2008 | Wintrust Statutory Trust V | 1,238 | | | 40,000 | | | 41,238 | | | S+0.26161+2.60 | | 7.16 | % | | 05/2004 | | 05/2034 | | 06/2009 | Wintrust Capital Trust VII | 1,550 | | | 50,000 | | | 51,550 | | | S+0.26161+1.95 | | 6.53 | % | | 12/2004 | | 03/2035 | | 03/2010 | Wintrust Capital Trust VIII | 1,238 | | | 25,000 | | | 26,238 | | | S+0.26161+1.45 | | 6.01 | % | | 08/2005 | | 09/2035 | | 09/2010 | Wintrust Capital Trust IX | 1,547 | | | 50,000 | | | 51,547 | | | S+0.26161+1.63 | | 6.21 | % | | 09/2006 | | 09/2036 | | 09/2011 | Northview Capital Trust I | 186 | | | 6,000 | | | 6,186 | | | S+0.26161+3.00 | | 7.54 | % | | 08/2003 | | 11/2033 | | 08/2008 | Town Bankshares Capital Trust I | 186 | | | 6,000 | | | 6,186 | | | S+0.26161+3.00 | | 7.54 | % | | 08/2003 | | 11/2033 | | 08/2008 | First Northwest Capital Trust I | 155 | | | 5,000 | | | 5,155 | | | S+0.26161+3.00 | | 7.56 | % | | 05/2004 | | 05/2034 | | 05/2009 | Suburban Illinois Capital Trust II | 464 | | | 15,000 | | | 15,464 | | | S+0.26161+1.75 | | 6.33 | % | | 12/2006 | | 12/2036 | | 12/2011 | Community Financial Shares Statutory Trust II | 109 | | | 3,500 | | | 3,609 | | | S+0.26161+1.62 | | 6.20 | % | | 06/2007 | | 09/2037 | | 06/2012 | Total | | | | | $ | 253,566 | | | | | 6.76 | % | | | | | | |
(1)The interest rates on the variable rate junior subordinated debentures are based on the three-month Chicago Mercantile Exchange (“CME”) Term Secured Overnight Financing Rate (“SOFR”) and reset on a quarterly basis.
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