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DEPOSITS (Tables)
12 Months Ended
Dec. 31, 2021
DEPOSITS  
Summary of deposits

December 31, 2021

December 31, 2020

Weighted

Weighted

Average

Average

(Dollars in thousands)

    

Rate

    

Liability

    

Rate

    

Liability

Savings

 

0.03

%  

$

1,158,040

 

0.12

%  

$

414,809

Certificates of deposit ("CDs")

 

0.58

 

853,242

 

0.84

 

1,322,638

Money market

 

0.07

 

3,621,552

 

0.24

 

1,716,624

Interest-bearing checking

 

0.18

 

905,717

 

0.10

 

290,300

Non-interest-bearing checking

 

 

3,920,423

 

 

780,751

Total

 

0.09

%  

$

10,458,974

 

0.36

%  

$

4,525,122

Summary of scheduled maturities of CDs outstanding

Maturing

Weighted Average

 

(Dollars in thousands)

    

Balance

    

Interest Rate

 

2022

    

$

701,259

0.51

%

2023

 

98,015

0.87

2024

 

27,402

1.20

2025

 

15,078

1.12

2026

 

9,110

0.52

2027 and beyond

 

2,378

0.67

Total

$

853,242

0.58

%