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Time Deposits and Borrowings (Tables)
3 Months Ended
Mar. 31, 2020
Banking and Thrift [Abstract]  
Schedule of Time Deposit Maturities and Borrowings
The scheduled maturities, excluding interest, of the Company’s borrowings at March 31, 2020 were as follows:
March 31, 2020
Within One YearOne to Two YearsTwo to Three YearsThree to Four YearsFour to Five YearsAfter Five YearsTotal
(Dollars in thousands)
Time deposits$830,347  $119,398  $105,246  $39,557  $8,394  $120  $1,103,062  
Fed funds purchased & repurchase agreements
38,946  —  —  —  —  —  38,946  
FHLB borrowings85,000  51,500  11,080  35,000  —  220,100  402,680  
Trust preferred securities(1)
—  —  —  —  —  931  931  
$954,293  $170,898  $116,326  $74,557  $8,394  $221,151  $1,545,619  
(1) The contract value of the trust preferred securities is $2.5 million and is currently being accreted to the maturity date of 2035.