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DEPOSITS
12 Months Ended
Dec. 31, 2018
Deposits [Abstract]  
DEPOSITS

6.  DEPOSITS

Time deposits over $250,000 totaled $160.3 million and $160.0 million at December 31, 2018 and 2017, respectively.

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

 

(Dollars in thousands)

 

2018

 

 

2017

 

Noninterest-bearing demand deposits

 

$

463,926

 

 

 

11.91

%

 

$

539,304

 

 

 

14.59

%

Interest-bearing checking

 

 

1,247,305

 

 

 

32.02

 

 

 

1,152,483

 

 

 

31.16

 

Savings

 

 

114,674

 

 

 

2.94

 

 

 

119,556

 

 

 

3.23

 

Money market

 

 

1,243,369

 

 

 

31.92

 

 

 

1,091,385

 

 

 

29.51

 

Certificates of deposit - retail

 

 

510,724

 

 

 

13.12

 

 

 

344,652

 

 

 

9.32

 

Certificates of deposit - listing service

 

 

79,195

 

 

 

2.03

 

 

 

198,383

 

 

 

5.36

 

Interest-bearing demand - Brokered

 

 

180,000

 

 

 

4.62

 

 

 

180,000

 

 

 

4.87

 

Certificates of deposit - Brokered

 

 

56,147

 

 

 

1.44

 

 

 

72,591

 

 

 

1.96

 

Total deposits

 

$

3,895,340

 

 

 

100.00

%

 

$

3,698,354

 

 

 

100.00

%

 

The scheduled maturities of time deposits as of December 31, 2018 are as follows:

 

(In thousands)

 

 

 

 

2019

 

$

406,992

 

2020

 

 

115,018

 

2021

 

 

41,835

 

2022

 

 

17,914

 

2023

 

 

12,424

 

Over 5 Years

 

 

51,883

 

Total

 

$

646,066