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Deposits
12 Months Ended
Dec. 31, 2016
Deposits [Abstract]  
Deposits
NOTE 10. DEPOSITS
The following table presents the components of interest‑bearing deposits as of the dates indicated:
 
December 31,
Deposit Category:
2016
 
2015
 
(In thousands)
Interest checking deposits
$
1,462,305

 
$
886,886

Money market deposits
4,865,961

 
3,712,690

Savings deposits
711,039

 
742,795

Time deposits under $100,000
1,018,849

 
1,656,227

Time deposits $100,000 and over
1,153,441

 
2,496,129

Total interest-bearing deposits
$
9,211,595

 
$
9,494,727


Brokered time deposits totaled $405.5 million and $272.5 million at December 31, 2016 and 2015. Brokered non-maturity deposits totaled $1.2 billion and $942.3 million at December 31, 2016 and 2015, and substantially all of these amounts are included with money market deposits in the table above. At December 31, 2016 and 2015, we had $769 million and $858 million of time deposits that exceed the FDIC insurance limit of $250,000 while the remaining $1.4 billion and $3.3 billion met or fell below the FDIC insurance limit.
The following table summarizes the maturities of time deposits as of the date indicated:
 
December 31, 2016
 
Time
 
Time
 
 
 
 
 
Deposits
 
Deposits
 
Total
 
 
 
Under
 
$100,000
 
Time
 
Contractual
Year of Maturity:
$100,000
 
or More
 
Deposits
 
Rate
 
(Dollars in thousands)
2017
$
927,447

 
$
1,047,465

 
$
1,974,912

 
0.38%
2018
65,567

 
74,581

 
140,148

 
0.69%
2019
14,716

 
19,071

 
33,787

 
0.60%
2020
3,049

 
2,446

 
5,495

 
0.79%
2021
8,042

 
9,878

 
17,920

 
0.75%
2022
28

 

 
28

 
0.72%
Total
$
1,018,849

 
$
1,153,441

 
$
2,172,290

 
0.41%