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Deposits
12 Months Ended
Dec. 31, 2019
Deposits [Abstract]  
Deposits DEPOSITS
The following table presents the Company's deposits by type.
Summary of Deposits
(Dollar amounts in thousands)
 As of December 31,
 20192018
Demand deposits$3,802,422  $3,642,989  
Savings deposits2,062,848  2,053,494  
NOW accounts2,259,505  2,063,213  
Money market deposits2,093,049  1,783,512  
Time deposits less than $100,0001,615,609  1,348,664  
Time deposits greater than $100,0001,417,845  1,192,240  
Total deposits$13,251,278  $12,084,112  
The following table provides maturity information related to the Company's time deposits.
Scheduled Maturities of Time Deposits
(Dollar amounts in thousands)
 Total
Year Ending December 31, 
2020$2,800,474  
2021150,806  
202234,140  
202317,894  
202429,792  
2025 and thereafter348  
Total$3,033,454