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Deposits (Tables)
12 Months Ended
Dec. 31, 2022
Deposits [Abstract]  
Schedule Of Deposits
Year-end deposits are summarized in the following table:
 December 31,
 2022 (1)2021
 (in thousands)
Demand and other noninterest-bearing$8,373,350 $8,856,714 
Money market2,972,838 3,525,299 
Interest-bearing demand1,980,631 1,999,407 
Savings1,555,765 1,617,546 
Interest-bearing public funds, other than certificates of deposit670,580 779,146 
Certificates of deposit, less than $250,000215,848 249,120 
Certificates of deposit, $250,000 or more124,411 160,490 
Certificates of deposit insured by CD Option of IntraFi Network Deposits21,828 35,611 
Reciprocal money market accounts796,199 786,046 
Subtotal16,711,450 18,009,379 
Valuation adjustment resulting from acquisition accounting— 736 
Total deposits$16,711,450 $18,010,115 
Schedule Of Time Deposits Maturity
The following table shows the amount and maturity of time deposits:
Years Ending December 31,
(in thousands)
2023 (1)$266,873 
202462,907 
202514,325 
20269,688 
20278,284 
Thereafter10 
Total$362,087