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Note 7 - Deposits (Tables)
12 Months Ended
Dec. 31, 2021
Notes Tables  
Summary of Deposits [Table Text Block]
  

As of December 31,

 
  

2021

  

2020

 
  

(In thousands)

 

Deposits

        

Non-interest-bearing demand deposits

 $4,492,054  $3,365,086 

Interest bearing demand deposits

  2,522,442   1,926,135 

Money market deposits

  4,611,579   3,359,191 

Savings deposits

  915,515   785,672 

Time deposits

  5,517,252   6,673,317 

Total deposits

 $18,058,842  $16,109,401 
Schedule of Maturities for Time Deposits [Table Text Block]
  

Expected Maturity Date at December 31,

     
  

2022

  

2023

  

2024

  

2025

  

2026

  

Thereafter

  

Total

 
  

(In thousands)

 

Time deposits

 $5,318,805  $139,735  $58,088  $144  $467  $13  $5,517,252 
Summary of Interest Expense on Deposits [Table Text Block]
  

Year Ended December 31,

 
  

2021

  

2020

  

2019

 
  

(In thousands)

 

Interest bearing demand

 $2,249  $2,816  $2,371 

Money market accounts

  18,241   21,574   21,508 

Saving accounts

  769   1,006   1,432 

Time deposits

  40,542   111,629   152,791 

Total

 $61,801  $137,025  $178,102