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DEPOSITS (Tables)
12 Months Ended
Dec. 31, 2014
DEPOSITS [Abstract]  
Schedule of deposit liabilities

The following table sets forth the details of total deposits as of December 31,

 

    2014     2013  
(In thousands)   $     %     $       %  
Noninterest-bearing demand deposits   $ 366,371       15.94 %   $ 356,119       21.62 %
Interest-bearing checking     600,889       26.14       378,340       22.97  
Savings     112,878       4.91       115,785       7.03  
Money market     700,069       30.46       630,173       38.26  
Certificates of deposit     198,819       8.65       151,833       9.22  
Interest-bearing demand - Brokered 188,000 8.18 10,000 0.61
Certificates of deposit - Brokered     131,667       5.73       5,000       0.30  
  Total deposits   $ 2,298,693       100.00 %   $ 1,647,250       100.00 %
Schedule of maturities of time deposits

The scheduled maturities of time deposits as of December 31, 2014 are as follows:

 

(In thousands)      
2015   $ 122,688  
2016     36,339  
2017     68,626  
2018     24,483  
2019     39,185  
Over 5 Years 39,165
Total   $ 330,486