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Deposits
6 Months Ended
Jun. 30, 2018
Disclosure Text Block  
Deposits

Note 15 – Deposits

Total interest bearing deposits as of the end of the periods presented consisted of:

(In thousands)June 30, 2018December 31, 2017
Savings accounts$9,922,817$8,561,718
NOW, money market and other interest bearing demand deposits12,639,39410,885,967
Total savings, NOW, money market and other interest bearing demand deposits22,562,21119,447,685
Certificates of deposit:
Under $100,0003,400,5963,446,575
$100,000 and over4,022,4914,068,303
Total certificates of deposit7,423,0877,514,878
Total interest bearing deposits$29,985,298$26,962,563

A summary of certificates of deposit by maturity at June 30, 2018 follows:

(In thousands)
2018$2,762,840
20191,676,796
20201,254,178
2021824,573
2022528,468
2023 and thereafter376,232
Total certificates of deposit$7,423,087

At June 30, 2018, the Corporation had brokered deposits amounting to $ 0.5 billion (December 31, 2017 - $ 0.5 billion).

The aggregate amount of overdrafts in demand deposit accounts that were reclassified to loans was $5 million at June 30, 2018 (December 31, 2017 - $4 million).