| Schedule Of Deposits |
Year-end deposits are summarized in the following table: | | | | | | | | | | | | December 31, | | | 2011 | | 2010 | | | (in thousands) | Core deposits: | | | | | Demand and other noninterest-bearing | | $ | 1,156,610 |
| | $ | 895,671 |
| Interest-bearing demand | | 735,340 |
| | 672,307 |
| Money market | | 1,031,664 |
| | 920,831 |
| Savings | | 283,416 |
| | 210,995 |
| Certificates of deposit less than $100,000 | | 303,405 |
| | 298,678 |
| Total core deposits | | 3,510,435 |
| | 2,998,482 |
| Certificates of deposit greater than $100,000 | | 262,731 |
| | 266,708 |
| Certificates of deposit insured by CDARS® | | 42,080 |
| | 38,312 |
| Wholesale certificates of deposit | | — |
| | 23,155 |
| Subtotal | | 3,815,246 |
| | 3,326,657 |
| Valuation adjustment resulting from acquisition accounting | | 283 |
| | 612 |
| Total deposits | | $ | 3,815,529 |
| | $ | 3,327,269 |
|
|
| Schedule Of Time Deposits Maturity |
The following table shows the amount and maturity of time deposits that had balances of $100,000 or greater: | | | | | | Years Ending December 31, | | (in thousands) | 2012 | | $ | 233,819 |
| 2013 | | 37,918 |
| 2014 | | 10,112 |
| 2015 | | 13,042 |
| 2016 | | 7,777 |
| Thereafter | | 327 |
| Total | | $ | 302,995 |
|
|