v3.25.2
Junior Subordinated Interest Deferrable Debentures (Tables)
6 Months Ended
Jun. 30, 2025
Junior Subordinated Interest Deferrable Debentures  
Summary of information about capital and common securities and their interest rate

The following table illustrates key information about each of the Capital and Common Securities and their interest rate at June 30, 2025:

    

Junior

    

    

    

    

    

Subordinated

Deferrable

Interest

Repricing

Interest

Interest

Optional

Debentures

Frequency

Rate

Rate Index(1)

Maturity Date

Redemption Date(2)

(Dollars in Thousands)

Trust IX

$

41,238

 

Quarterly

 

6.18

%

SOFR

+

1.62

 

October 2036

 

October 2011

Trust X

 

21,021

 

Quarterly

 

6.19

%

SOFR

+

1.65

 

February 2037

 

February 2012

Trust XI

 

25,990

 

Quarterly

 

6.18

%

SOFR

+

1.62

 

July 2037

 

July 2012

Trust XII

 

20,619

 

Quarterly

 

6.04

%

SOFR

+

1.45

 

September 2037

 

September 2012

$

108,868

(1)    On July 1, 2023, the interest rate index on the Capital and Common Securities transitioned from U.S.-dollar London Interbank Offered Rate (“LIBOR”) to the Three-Month CME Term Secured Overnight Financing Rate (“SOFR”) with a 26-basis point spread adjustment.

(2)

The Capital and Common Securities may be redeemed in whole or in part on any interest payment date after the Optional Redemption Date (as defined in the respective Indenture).