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DEPOSITS
12 Months Ended
Dec. 31, 2020
Deposits [Abstract]  
DEPOSITS DEPOSITS
Deposits are summarized as follows:
 December 31,
20202019
(In thousands)
Demand deposits (noninterest bearing)$2,481,676 $1,971,013 
Savings and NOW (1)905,692 646,200 
Money market (1)4,699,882 3,969,330 
Certificates of deposit under $100,000 (1)30,269 145,226 
Certificates of deposit $100,000 or more to less than $250,000 (1)102,133 94,095 
Certificates of deposit $250,000 or more375,714 415,612 
Total$8,595,366 $7,241,476 
___________________
(1) Includes brokered deposits.
Certificates of deposit had the following schedule of maturities:
 December 31,
20202019
(In thousands)
Less than 3 months remaining$168,456 $285,236 
3 to 6 months remaining118,019 187,854 
6 to 12 months remaining188,396 154,837 
Total due within 1 year$474,871 $627,927 
1 to 2 years remaining25,520 24,094 
2 to 3 years remaining6,531 2,402 
3 to 4 years remaining 25 
4 to 5 years remaining1,185 — 
More than 5 years remaining9 485 
Total$508,116 $654,933 
Interest expense on certificates of deposits of $100,000 or greater was $4.6 million, $8.6 million, and $5.5 million for the years ended December 31, 2020, 2019, and 2018, respectively. At December 31, 2020 and 2019, there was $0.3 million and $1.3 million of overdrawn deposit accounts reclassified to loans, respectively.