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DEPOSITS
12 Months Ended
Dec. 31, 2011
DEPOSITS  
DEPOSITS

NOTE 10—DEPOSITS

        The following table presents the components of interest-bearing deposits as of the dates indicated:

 
  December 31,  
Deposit Category
  2011   2010  
 
  (In thousands)
 

Interest checking deposits

  $ 500,998   $ 494,617  

Money market deposits

    1,265,282     1,321,780  

Savings deposits

    157,480     135,876  

Time deposits under $100,000

    324,521     436,838  

Time deposits of $100,000 or more

    643,373     795,025  
           

Total interest-bearing deposits

  $ 2,891,654   $ 3,184,136  
           

        Brokered time deposits totaled $41.6 million at December 31, 2011, all of which represented deposits that were subsequently participated with other FDIC insured financial institutions through the CDARS program as a means to provide FDIC deposit insurance coverage for the full amount of our customers' deposits. Brokered time deposits totaled $83.7 million at December 31, 2010, of which $47.5 million were part of the CDARS program.

        The following table summarizes the maturities of time deposits as of the date indicated:

 
  December 31, 2011  
Year of Maturity
  Time
Deposits
Under
$100,000
  Time
Deposits
$100,000
or More
  Total
Time
Deposits
 
 
  (In thousands)
 

2012

  $ 151,014   $ 269,163   $ 420,177  

2013

    124,538     271,877     396,415  

2014

    37,943     75,980     113,923  

2015

    225     970     1,195  

2016

    10,801     25,383     36,184  
               

Total

  $ 324,521   $ 643,373   $ 967,894