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Deposits and Customer Repurchase Agreements: Schedule of Deposits (Details) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2012
Dec. 31, 2011
Jun. 30, 2011
Non-interest bearing accounts
     
Deposit Amount $ 804,562 $ 777,563 $ 645,778
Deposit Percent of Total 23.50% 22.40% 18.60%
Interest-bearing checking
     
Deposit Amount 379,742 362,542 356,321
Deposit Percent of Total 11.10% 10.40% 10.30%
Regular savings accounts
     
Deposit Amount 664,736 669,596 631,688
Deposit Percent of Total 19.40% 19.30% 18.20%
Money market accounts
     
Deposit Amount 405,412 415,456 434,281
Deposit Percent of Total 11.80% 11.90% 12.50%
Total transaction and savings accounts
     
Deposit Amount 2,254,452 2,225,157 2,068,068
Deposit Percent of Total 65.80% 64.00% 59.60%
Certificates which mature or reprice within 1 year
     
Deposit Amount 903,923 972,315 1,092,682
Deposit Percent of Total 26.40% 28.00% 31.60%
Certificates which mature or reprice after 1 year, but within 3 years
     
Deposit Amount 198,015 214,091 242,987
Deposit Percent of Total 5.80% 6.20% 7.00%
Certificates which mature or reprice after 3 years
     
Deposit Amount 69,359 64,091 62,663
Deposit Percent of Total 2.00% 1.80% 1.80%
Total certificate accounts
     
Deposit Amount 1,171,297 1,250,497 1,398,332
Deposit Percent of Total 34.20% 36.00% 40.40%
Total deposits
     
Deposit Amount 3,425,749 3,475,654 3,466,400
Deposit Percent of Total 100.00% 100.00% 100.00%
Included in total deposits -- Public fund transaction accounts
     
Deposit Amount 73,507 72,064 72,181
Deposit Percent of Total 2.20% 2.10% 2.00%
Included in total deposits -- Public fund interest-bearing certificates
     
Deposit Amount 62,743 67,112 69,219
Deposit Percent of Total 1.80% 1.90% 2.00%
Total public deposits
     
Deposit Amount 136,250 139,176 141,400
Deposit Percent of Total 4.00% 4.00% 4.00%
Total brokered deposits
     
Deposit Amount $ 23,521 $ 49,194 $ 73,161
Deposit Percent of Total 0.70% 1.40% 2.10%