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DEPOSITS (Tables)
12 Months Ended
Dec. 31, 2013
Banking and Thrift [Abstract]  
Schedule of Deposit Liabilities
Deposits consist of the following at December 31, 2013 and 2012 (dollars in thousands):
 
December 31
 
2013
 
2012
 
Amount
 
Percent of
Total
 
Amount
 
Percent of
Total
Non-interest-bearing checking
$
1,115,346

 
30.8
%
 
$
981,240

 
27.6
%
Interest-bearing checking
422,910

 
11.7

 
410,316

 
11.5

Regular savings accounts
798,764

 
22.1

 
727,957

 
20.5

Money market accounts
408,211

 
11.3

 
408,998

 
11.5

Total transaction and savings accounts
2,745,231

 
75.9

 
2,528,511

 
71.1

Certificates of deposit:
 
 
 
 
 
 
 
Up to 1.00%
723,891

 
20.0

 
792,674

 
22.3

1.01% to 2.00%
95,663

 
2.6

 
155,144

 
4.3

2.01% to 3.00%
43,062

 
1.2

 
59,094

 
1.6

3.01% to 4.00%
6,663

 
0.2

 
12,881

 
0.4

4.01% and greater
3,416

 
0.1

 
9,500

 
0.3

Total certificates of deposit
872,695

 
24.1

 
1,029,293

 
28.9

Total deposits
$
3,617,926

 
100.0
%
 
$
3,557,804

 
100.0
%
Included in total deposits:
 
 
 
 
 
 
 
Public transaction accounts
$
87,521

 
2.4
%
 
$
79,955

 
2.2
%
Public interest-bearing certificates
51,465

 
1.4

 
60,518

 
1.7

Total public deposits
$
138,986

 
3.8
%
 
$
140,473

 
3.9
%
Total brokered deposits
$
4,291

 
0.1
%
 
$
15,702

 
0.4
%
Schedule Maturities and Weighted Average Interest Rates of Certificate Accounts
Scheduled maturities and weighted average interest rates of certificate accounts at December 31, 2013 and 2012 are as follows (dollars in thousands):
 
December 31
 
2013
 
2012
 
Amount
 
Weighted
Average Rate
 
Amount
 
Weighted
Average Rate
Maturing in one year or less
$
660,394

 
0.47
%
 
$
759,626

 
0.64
%
Maturing after one year through two years
117,789

 
1.05

 
153,371

 
1.05

Maturing after two years through three years
47,362

 
1.34

 
56,419

 
1.72

Maturing after three years through four years
26,443

 
1.56

 
29,571

 
1.78

Maturing after four years through five years
17,075

 
1.34

 
26,782

 
1.59

Maturing after five years
3,632

 
1.78

 
3,524

 
2.66

Total certificates of deposit
$
872,695

 
0.65
%
 
$
1,029,293

 
0.82
%
Schedule of Deposit Liabilities Activities
The following table sets forth the deposit activities for the years ended December 31, 2013, 2012 and 2011 (in thousands):
 
Years Ended December 31
 
2013

 
2012

 
2011

Balance at beginning of year
$
3,557,804

 
$
3,475,654

 
$
3,591,198

Net increase (decrease) before interest credited
50,385

 
67,043

 
(141,708
)
Interest credited
9,737

 
15,107

 
26,164

Net increase (decrease) in deposits
60,122

 
82,150

 
(115,544
)
Balance at end of year
$
3,617,926

 
$
3,557,804

 
$
3,475,654

Schedule of Interest Expense Deposit Liabilities by Type
Deposit interest expense by type for the years ended December 31, 2013, 2012 and 2011 was as follows (in thousands):
 
Years Ended December 31
 
2013

 
2012

 
2011

Certificates of deposit
$
6,836

 
$
11,458

 
$
19,752

Demand, interest-bearing checking and money market accounts
1,329

 
1,824

 
3,293

Regular savings
1,572

 
1,825

 
3,119

 
$
9,737

 
$
15,107

 
$
26,164