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DEPOSITS
12 Months Ended
Dec. 31, 2012
DEPOSITS  
DEPOSITS

NOTE 10—DEPOSITS

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

 
  December 31,  
Deposit Category
  2012   2011  
 
  (In thousands)
 

Interest checking deposits

  $ 513,389   $ 500,998  

Money market deposits

    1,282,513     1,265,282  

Savings deposits

    153,680     157,480  

Time deposits under $100,000

    274,622     324,521  

Time deposits of $100,000 or more

    545,705     643,373  
           

Total interest-bearing deposits

  $ 2,769,909   $ 2,891,654  
           

        Brokered time deposits totaled $37.7 million at December 31, 2012, 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 $41.6 million at December 31, 2011, all of which were part of the CDARS program.

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

 
  December 31, 2012  
Year of Maturity
  Time
Deposits
Under
$100,000
  Time
Deposits
$100,000
or More
  Total
Time
Deposits
 
 
  (In thousands)
 

2013

  $ 212,914   $ 424,164   $ 637,078  

2014

    48,078     87,269     135,347  

2015

    1,746     6,214     7,960  

2016

    10,073     23,014     33,087  

2017

    1,811     5,044     6,855  
               

Total

  $ 274,622   $ 545,705   $ 820,327