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Deposits (Tables)
12 Months Ended
Dec. 31, 2025
Deposit Liabilities [Abstract]  
Summary of Deposits by Type
The following table summarizes deposits by type:
December 31,
(In thousands)20252024
Non-interest-bearing:
Demand$10,082,854 $10,316,501 
Interest-bearing:
Checking10,760,496 9,834,790 
Health savings accounts9,184,452 8,951,031 
Money market23,196,747 20,433,250 
Savings6,964,946 6,982,554 
Time deposits8,570,318 8,234,954 
Total interest-bearing58,676,959 54,436,579 
Total deposits$68,759,813 $64,753,080 
Time deposits, money market, and interest-bearing checking obtained through brokers (1)
$3,134,894 $3,181,298 
Aggregate amount of time deposit accounts that exceeded the FDIC limit (2)
1,494,626 1,407,077 
Deposit overdrafts reclassified as loan balances6,674 7,146 
(1)Excludes money market deposits received through interSYNC of $9.3 billion at December 31, 2025, and $7.3 billion at December 31, 2024.
(2)Excludes an aggregate amount of time deposit accounts that were at the FDIC limit of $10.5 million at December 31, 2025, and $16.8 million at December 31, 2024.
Scheduled Maturities of Time Deposits
The following table summarizes the scheduled maturities of time deposits:
(In thousands)December 31, 2025
2026$8,464,468 
202745,728 
202820,414 
202915,797 
203023,664 
Thereafter247 
Total time deposits$8,570,318