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DEPOSITS
12 Months Ended
Dec. 31, 2017
Deposits [Abstract]  
DEPOSITS

6. DEPOSITS

 

Time deposits over $250,000 totaled $160.0 million and $118.7 million at December 31, 2017 and 2016, respectively.

 

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

 

(Dollars in thousands)  2017   2016 
Noninterest-bearing demand deposits  $539,304    14.59%  $489,485    14.35%
Interest-bearing checking   1,152,483    31.16    1,023,081    29.99 
Savings   119,556    3.23    120,056    3.52 
Money market   1,091,385    29.51    1,048,494    30.73 
Certificates of deposit   543,035    14.68    457,000    13.39 
Interest-bearing demand - Brokered   180,000    4.87    180,000    5.27 
Certificates of deposit - Brokered   72,591    1.96    93,721    2.75 
  Total deposits  $3,698,354    100.00%  $3,411,837    100.00%

 

The scheduled maturities of time deposits as of December 31, 2017 are as follows:

 

(In thousands)    
2018  $354,563 
2019   117,235 
2020   46,087 
2021   14,239 
2022   20,644 
Over 5 Years   62,858 
  Total  $615,626