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Note 9 - Deposits
12 Months Ended
Dec. 31, 2012
Deposit Liabilities Disclosures [Text Block]
9.      DEPOSITS

The following table presents the Company’s deposits by type of account.

Summary of Deposits

(Dollar amounts in thousands)

   
December 31,
 
   
2012
   
2011
 
Demand deposits
  $ 1,762,903     $ 1,593,773  
Savings deposits
    1,092,545       970,016  
NOW accounts
    1,160,680       1,057,887  
Money market deposits
    1,256,179       1,198,382  
Time deposits less than $100,000
    963,850       1,126,462  
Time deposits of $100,000 or more
    436,098       532,655  
Total deposits
  $ 6,672,255     $ 6,479,175  

The following tables provide maturity information related to the Company’s time deposits.

Scheduled Maturities of Time Deposits

(Dollar amounts in thousands)

   
Total
 
Year ending December 31,
     
2013
  $ 921,508  
2014
    208,806  
2015
    165,512  
2016
    54,868  
2017
    48,861  
2018 and thereafter
    393  
Total
  $ 1,399,948  

Maturities of Time Deposits of $100,000 or More

(Dollar amounts in thousands)

   
Total
 
Maturing within 3 months
  $ 94,652  
Maturing after 3 months but within 6 months
    74,025  
Maturing after 6 months but within 12 months
    95,137  
Maturing after 12 months
    172,284  
Total
  $ 436,098