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DEPOSITS (Tables)
12 Months Ended
Dec. 31, 2019
Banking and Thrift [Abstract]  
Schedule of Deposit Liabilities

Deposits consist of the following at December 31, 2019 and 2018 (in thousands):
 
December 31
 
2019
 
2018
Non-interest-bearing checking
$
3,945,000

 
$
3,657,817

Interest-bearing checking
1,280,003

 
1,191,016

Regular savings accounts
1,934,041

 
1,842,581

Money market accounts
1,769,194

 
1,465,369

Total interest-bearing transaction and savings accounts
4,983,238

 
4,498,966

Certificates of deposit:
 
 
 
Certificates of deposit less than or equal to $250,000
936,940

 
1,143,303

Certificates of deposit greater than $250,000
183,463

 
176,962

Total certificates of deposit(1)
1,120,403

 
1,320,265

Total deposits
$
10,048,641

 
$
9,477,048

Included in total deposits:
 
 
 
Public fund transaction accounts
$
244,418

 
$
217,401

Public fund interest-bearing certificates
35,184

 
30,089

Total public deposits
$
279,602

 
$
247,490

Total brokered deposits
$
202,884

 
$
377,347


(1)Certificates of deposit included $269,000 of acquisition discounts at December 31, 2019 and $563,000 of acquisition premiums at December 31, 2018.
Schedule Maturities and Weighted Average Interest Rates of Certificates of Deposit
Scheduled maturities and weighted average interest rates of certificates of deposits at December 31, 2019 are as follows (dollars in thousands):
 
December 31, 2019
 
Amount
 
Weighted
Average Rate
Maturing in one year or less
$
846,941

 
1.28
%
Maturing after one year through two years
167,857

 
1.77

Maturing after two years through three years
79,422

 
1.97

Maturing after three years through four years
11,374

 
1.75

Maturing after four years through five years
12,561

 
2.23

Maturing after five years
2,248

 
1.18

Total certificates of deposit
$
1,120,403

 
1.43
%