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DEPOSITS (Tables)
12 Months Ended
Dec. 31, 2019
DEPOSITS [Abstract]  
Summary of Interest Expense on Deposits
A summary of interest expense on deposits for the years ended December 31 follows:

  
2019
  
2018
  
2017
 
  
(In thousands)
 
Savings and interest-bearing checking
 
$
5,371
  
$
4,146
  
$
1,530
 
Reciprocal
  
6,024
   
1,292
   
342
 
Time
  
7,148
   
5,343
   
4,288
 
Brokered time
  
4,882
   
3,697
   
615
 
Total
 
$
23,425
  
$
14,478
  
$
6,775
 
Summary of Maturity of Time Deposits
A summary of the maturity of time deposits at December 31, 2019, follows:
 
  
(In thousands)
 
    
2020
 
$
501,609
 
2021
  
73,398
 
2022
  
13,929
 
2023
  
15,136
 
2024
  
5,020
 
2025 and thereafter
  
445
 
Total
 
$
609,537
 
Summary of Reciprocal Deposits
A summary of reciprocal deposits at December 31 follows:
 
  
2019
  
2018
 
  
(In thousands)
 
Demand
 
$
383,953
  
$
114,503
 
Money market
  
4,416
   
8,577
 
Time
  
42,658
   
58,992
 
Total
 
$
431,027
  
$
182,072