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Deposits
12 Months Ended
Dec. 31, 2019
Deposits [Abstract]  
Deposits Deposits
The following table presents a summary of deposits:
(Dollars in thousands)
 
 
 
December 31,
2019

 
2018

Noninterest-bearing demand deposits

$609,924

 

$603,216

Interest-bearing demand deposits
159,938

 
178,733

NOW accounts
520,295

 
466,568

Money market accounts
765,899

 
646,878

Savings accounts
373,503

 
373,545

Time deposits (1)
1,069,323

 
1,255,108

Total deposits

$3,498,882

 

$3,524,048

(1)
Includes wholesale brokered time deposits.

The following table presents scheduled maturities of time certificates of deposit:
(Dollars in thousands)
 
Scheduled Maturity
 
Weighted Average Rate
Years ending December 31:
2020

$751,525

 
1.95
%
 
2021
161,034

 
2.27

 
2022
105,846

 
2.42

 
2023
32,462

 
2.04

 
2024
18,326

 
1.58

 
2025 and thereafter
130

 
2.26

Balance at December 31, 2019
 

$1,069,323

 
2.04
%


The following table presents the amount of time certificates of deposit in denominations of $100 thousand or more at December 31, 2019, maturing during the periods indicated:
(Dollars in thousands)
 
January 1, 2020 to March 31, 2020

$57,864

April 1, 2020 to June 30, 2020
106,574

July 1, 2020 to December 31, 2020
115,505

January 1, 2021 and beyond
175,831

Balance at December 31, 2019

$455,774



Time certificates of deposit in denominations of $250 thousand or more totaled $147.3 million and $129.3 million, respectively, at December 31, 2019 and 2018.