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DEPOSITS (Tables)
12 Months Ended
Dec. 31, 2020
Deposits [Abstract]  
Composition of Deposits
The following table presents the composition of deposits at December 31 for the years indicated:

(In thousands)20202019
Noninterest-bearing deposits$3,325,547 $1,892,052 
Interest-bearing deposits:
Demand1,292,164 836,433 
Money market savings3,339,645 1,839,593 
Regular savings418,051 329,919 
Time deposits of less than $100,000509,919 463,431 
Time deposits greater than $100,000 and less than $250,000670,717 682,936 
Time deposits of $250,000 or more477,026 395,955 
Total interest-bearing deposits6,707,522 4,548,267 
Total deposits$10,033,069 $6,440,319 
Maturity schedule for time deposits maturing within years
The following table presents the maturity schedule for time deposits maturing within years ending December 31:

(In thousands)Amount
2021$1,208,915 
2022275,872 
202384,093 
202473,859 
202514,745 
Thereafter178 
Total time deposits$1,657,662 
Months to maturities of time deposits
The Company's time deposits of $100,000 to $250,000 represented 6.7% of total deposits and time deposits of $250,000 or more represented 4.8% of total deposits at December 31, 2020 and are presented by maturity in the following table:

Months to Maturity
(In thousands)3 or LessOver 3 to 6Over 6 to 12Over 12Total
Time deposits - $100,000 to $250,000$211,006 $127,934 $139,133 $192,644 $670,717 
Time deposits - $250,000 or more$111,332 $115,678 $140,231 $109,785 $477,026