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Deposits
12 Months Ended
Dec. 31, 2014
Deposits [Abstract]  
Deposits
Deposits
At December 31, 2014, the scheduled maturities of total time open and certificates of deposit were as follows:

(In thousands)
 
Due in 2015
$
1,638,332

Due in 2016
301,354

Due in 2017
80,693

Due in 2018
56,728

Due in 2019
42,596

Thereafter
2,515

Total
$
2,122,218



The following table shows a detailed breakdown of the maturities of time open and certificates of deposit, by size category, at December 31, 2014.
(In thousands)
Certificates of Deposit under $100,000
Other Time Deposits under $100,000
Certificates of Deposit over $100,000
Other Time Deposits over $100,000
Total
Due in 3 months or less
$
145,232

$
30,779

$
363,581

$
12,646

$
552,238

Due in over 3 through 6 months
155,693

35,553

272,824

28,172

492,242

Due in over 6 through 12 months
260,582

49,132

238,723

45,415

593,852

Due in over 12 months
135,960

65,502

268,887

13,537

483,886

Total
$
697,467

$
180,966

$
1,144,015

$
99,770

$
2,122,218



Regulations of the Federal Reserve System require cash balances to be maintained at the Federal Reserve Bank, based on certain deposit levels. The minimum reserve requirement for the Bank at December 31, 2014 totaled $59.8 million.