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DEPOSITS
12 Months Ended
Dec. 31, 2013
DEPOSITS  
DEPOSITS

NOTE 11—DEPOSITS

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

 
  December 31,  
Deposit Category
  2013   2012  
 
  (In thousands)
 

Interest checking deposits

  $ 620,622   $ 513,389  

Money market deposits

    1,458,910     1,282,513  

Savings deposits

    218,638     153,680  

Time deposits under $100,000

    225,360     274,622  

Time deposits of $100,000 or more

    439,011     545,705  
           

Total interest-bearing deposits

  $ 2,962,541   $ 2,769,909  
           
           

        Brokered time deposits totaled $49.4 million at December 31, 2013, and $37.7 million at December 31, 2012, all of which were part of the CDARS program. The CDARS program represents deposits that are 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.

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

 
  December 31, 2013  
Year of Maturity
  Time
Deposits
Under
$100,000
  Time
Deposits
$100,000
or More
  Total
Time
Deposits
  Rate  
 
  (Dollars in thousands)
   
 

2014

  $ 173,820   $ 343,463   $ 517,283     0.49 %

2015

    17,200     36,419     53,619     0.82 %

2016

    29,151     47,769     76,920     0.78 %

2017

    2,694     7,472     10,166     1.10 %

2018

    2,425     3,888     6,313     0.78 %

2019

    70         70     0.70 %
                     

Total

  $ 225,360   $ 439,011   $ 664,371     0.56 %