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DEPOSITS
12 Months Ended
Jun. 30, 2020
Deposits [Abstract]  
DEPOSITS DEPOSITS
Deposit accounts are summarized as follows:
 
At June 30,
 
2020
 
2019
(Dollars in thousands)
Amount
 
Rate1
 
Amount
 
Rate1
Non-interest bearing
$
1,936,661

 
%
 
$
1,441,930

 
%
Interest bearing:
 
 
 
 
 
 
 
Demand
3,456,127

 
0.37
%
 
2,709,014

 
2.06
%
Savings
3,697,188

 
0.78
%
 
2,466,214

 
1.48
%
 
7,153,315

 
0.58
%
 
5,175,228

 
1.78
%
Time deposits:
 
 
 
 
 
 
 
$250 and under
1,584,034

 
2.12
%
 
1,866,811

 
2.47
%
Greater than $250
662,684

 
1.39
%
 
499,204

 
2.27
%
Total time deposits
2,246,718

 
1.91
%
 
2,366,015

 
2.43
%
Total interest bearing2
9,400,033

 
0.90
%
 
7,541,243

 
1.99
%
Total deposits
$
11,336,694

 
0.75
%
 
$
8,983,173

 
1.67
%
1 Based on weighted-average stated interest rates at end of period.
2 The total interest-bearing includes brokered deposits of $1,318.0 million and $1,124.0 million as of June 30, 2020 and June 30, 2019, respectively, of which $603.6 million and $796.7 million, respectively, are time deposits classified as $250 and under.

The scheduled maturities of time deposits are as follows:
(Dollars in thousands)
June 30, 2020
Within 12 months
$
1,079,674

13 to 24 months
540,669

25 to 36 months
180,590

37 to 48 months
132,629

49 to 60 months
139,866

Thereafter
173,290

Total
$
2,246,718


At June 30, 2020 and 2019, the Company had deposits from certain executive officers, directors and their affiliates in the amount of $2.7 million and $5.6 million, respectively.