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Deposits (Tables)
12 Months Ended
Dec. 31, 2014
Deposits [Abstract]  
Schedule Of Deposits
Year-end deposits are summarized in the following table:
 
 
 
December 31,
 
 
2014
 
2013
 
 
(in thousands)
Core deposits:
 
 
 
 
Demand and other noninterest-bearing
 
$
2,651,373

 
$
2,171,703

Interest-bearing demand
 
1,304,258

 
1,170,006

Money market
 
1,760,331

 
1,569,261

Savings
 
615,721

 
496,444

Certificates of deposit less than $100,000
 
288,261

 
288,943

Total core deposits
 
6,619,944

 
5,696,357

Certificates of deposit greater than $100,000
 
202,014

 
201,498

Certificates of deposit insured through CDARS®
 
18,429

 
19,488

Brokered money market accounts
 
83,402

 
41,765

Subtotal
 
6,923,789

 
5,959,108

Valuation adjustment resulting from acquisition accounting
 
933

 
367

Total deposits
 
$
6,924,722

 
$
5,959,475

Schedule Of Time Deposits Maturity
The following table shows the amount and maturity of time deposits that had balances of $100,000 or greater:
 
Years Ending December 31,
 
(in thousands)
2015
 
$
162,828

2016
 
40,375

2017
 
8,069

2018
 
3,822

2019
 
3,982

Thereafter
 
108

Total
 
$
219,184