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Deposits (Tables)
12 Months Ended
Dec. 31, 2022
Banking and Thrift, Other Disclosure [Abstract]  
Schedule of Deposit Balances
Peoples’ deposit balances were comprised of the following at December 31:
(Dollars in thousands)20222021
Retail CDs:  
$100 or more$263,341 $320,574 
Less than $100266,895 323,185 
Total retail CDs530,236 643,759 
Interest-bearing deposit accounts1,160,182 1,167,460 
Savings accounts1,068,547 1,036,738 
Money market deposit accounts617,029 651,169 
Governmental deposit accounts625,965 617,259 
Brokered deposit accounts125,580 104,745 
Total interest-bearing deposits4,127,539 4,221,130 
Non-interest-bearing deposits1,589,402 1,641,422 
Total deposits$5,716,941 $5,862,552 
Schedule of Maturities of Certificates of Deposit
Uninsured time deposits are broken out below by time remaining until maturity.
(Dollars in thousands)20222021
3 months or less$19,282 $23,779 
Over 3 to 6 months14,871 26,964 
Over 6 to 12 months14,383 34,434 
Over 12 months52,216 36,115 
Total$100,752 $121,292 
The contractual maturities of CDs for each of the next five years and thereafter are as follows:
(Dollars in thousands)RetailBrokeredTotal
2023$316,073 $125,580 $441,653 
2024132,130 — 132,130 
202532,838 — 32,838 
202622,127 — 22,127 
202726,978 — 26,978 
Thereafter90 — 90 
Total CDs$530,236 $125,580 $655,816