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DEPOSITS
12 Months Ended
Dec. 31, 2015
DEPOSITS [Abstract]  
DEPOSITS

6.  DEPOSITS

 

Time deposits over $250,000 totaled $115.6 million and $23.1 million at December 31, 2015 and 2014, respectively.

 

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

 

(Dollars in thousands)    2015     2014  
Noninterest-bearing demand deposits   $ 419,887       14.30 %   $ 366,371       15.94 %
Interest-bearing checking     861,697       29.36       600,889       26.14  
Savings     115,007       3.92       112,878       4.91  
Money market     810,709       27.62       700,069       30.46  
Certificates of deposit     434,450       14.80       198,819       8.65  
Interest-bearing demand - Brokered     200,000       6.81       188,000       8.18  
Certificates of deposit - Brokered     93,720       3.19       131,667       5.73  
  Total deposits   $ 2,935,470       100.00 %   $ 2,298,693       100.00 %

 

The scheduled maturities of time deposits as of December 31, 2015 are as follows:

 

(In thousands)      
2016   $ 91,115  
2017     97,707  
2018     171,173  
2019     64,466  
2020     38,511  
Over 5 Years     65,198  
  Total   $ 528,170