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DEPOSITS
6 Months Ended
Jun. 30, 2016
Deposits:  
DEPOSITS

4. DEPOSITS

Certificates of deposit, excluding brokered certificates of deposit over $250,000 totaled $122.4 million and $82.2 million at June 30, 2016 and 2015, respectively.

The following table sets forth the details of total deposits as of June 30, 2016 and December 31, 2015:

 

   June 30,   December 31, 
   2016   2015 
(In thousands)  $   %   $   % 
Noninterest-bearing demand deposits  $469,809    15.11%  $419,887    14.30%
Interest-bearing checking   897,210    28.86    861,697    29.36 
Savings   120,617    3.88    115,007    3.92 
Money market   861,664    27.72    810,709    27.62 
Certificates of deposit   466,079    14.99   $434,450    14.80 
  Subtotal deposits   2,815,379    90.56    2,641,750    90.00 
Interest-bearing demand - Brokered   200,000    6.43    200,000    6.81 
Certificates of deposit - Brokered   93,660    3.01    93,720    3.19 
  Total deposits  $3,109,039    100.00%  $2,935,470    100.00%

 

 

The scheduled maturities of certificates of deposit, including brokered certificates of deposit, as of June 30, 2016 are as follows:

(In thousands)     
2016  $54,290 
2017   128,712 
2018   192,075 
2019   67,680 
2020   34,545 
Over 5 Years   82,437 
  Total  $559,739