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Deposits Deposits (Tables)
12 Months Ended
Dec. 31, 2015
Deposits [Abstract]  
Summary of Interest Bearing Deposits
The following table presents the components of interest‑bearing deposits as of the dates indicated:
 
December 31,
Deposit Category:
2015
 
2014
 
(In thousands)
Interest checking deposits
$
886,886

 
$
736,367

Money market deposits
3,712,690

 
1,825,510

Savings deposits
742,795

 
762,961

Time deposits under $100,000
1,656,227

 
2,467,338

Time deposits $100,000 and over
2,496,129

 
3,031,600

Total interest-bearing deposits
$
9,494,727

 
$
8,823,776

Schedule of Maturities Of Time Deposits
The following table summarizes the maturities of time deposits as of the date indicated:
 
December 31, 2015
Year of Maturity:
Time
Deposits
Under
$100,000
 
Time
Deposits
$100,000
or More
 
Total
Time
Deposits
 
Contractual Rate
 
(Dollars in thousands)
2016
$
1,543,655

 
$
2,368,863

 
$
3,912,518

 
0.65%
2017
82,459

 
100,050

 
182,509

 
0.63%
2018
21,718

 
17,860

 
39,578

 
1.05%
2019
4,973

 
5,943

 
10,916

 
1.02%
2020
2,949

 
3,202

 
6,151

 
0.87%
2021
473

 
211

 
684

 
1.02%
Total
$
1,656,227

 
$
2,496,129

 
$
4,152,356

 
0.66%