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Deposits (Tables)
12 Months Ended
Dec. 31, 2022
Notes Tables  
Schedule of Deposits and Weighted Average Rate on Deposits

Weighted

 

Average

 

Rate

 

    

2022

    

2021

    

2022

 

(Dollars in thousands)

 

Interest-bearing deposits:

 

  

 

  

 

  

Certificate of deposit accounts

$

1,526,338

$

946,575

 

3.03

%

Savings accounts

 

143,641

 

156,554

 

0.21

Money market accounts

 

2,099,776

 

2,342,003

 

2.47

NOW accounts

 

1,746,190

 

1,920,779

 

2.14

Total interest-bearing deposits

 

5,515,945

 

5,365,911

 

  

Non-interest bearing demand deposits

 

921,238

 

967,621

 

  

Total due to depositors

 

6,437,183

 

6,333,532

 

  

Mortgagors' escrow deposits

 

48,159

 

51,913

 

0.30

Total deposits

$

6,485,342

$

6,385,445

 

  

Schedule of Interest Expense on Deposits

    

2022

    

2021

    

2020

(In thousands)

Certificate of deposit accounts

$

12,547

$

7,340

$

18,096

Savings accounts

 

211

 

255

 

495

Money market accounts

 

19,039

 

7,271

 

14,368

NOW accounts

 

15,353

 

5,453

 

9,309

Total due to depositors

 

47,150

 

20,319

 

42,268

Mortgagors' escrow deposits

 

135

 

5

 

44

Total interest expense on deposits

$

47,285

$

20,324

$

42,312

Schedule of Remaining Maturities of Certificates of Deposit Accounts

    

2022

    

2021

(In thousands)

Within 12 months

$

859,546

$

755,874

More than 12 months to 24 months

 

599,809

 

122,366

More than 24 months to 36 months

 

64,353

 

43,830

More than 36 months to 48 months

 

1,025

 

22,249

More than 48 months to 60 months

 

298

 

1,092

More than 60 months

 

1,307

 

1,164

Total certificate of deposit accounts

$

1,526,338

$

946,575