| Schedule Of Deposits |
Year-end deposits are summarized in the following table: | | | | | | | | | | | | December 31, | | | 2013 | | 2012 | | | (in thousands) | Core deposits: | | | | | Demand and other noninterest-bearing | | $ | 2,171,703 |
| | $ | 1,321,171 |
| Interest-bearing demand | | 1,170,006 |
| | 870,821 |
| Money market | | 1,569,261 |
| | 1,043,459 |
| Savings | | 496,444 |
| | 314,371 |
| Certificates of deposit less than $100,000 | | 288,943 |
| | 252,544 |
| Total core deposits | | 5,696,357 |
| | 3,802,366 |
| Certificates of deposit greater than $100,000 | | 201,498 |
| | 212,924 |
| Certificates of deposit insured through CDARS® | | 19,488 |
| | 26,720 |
| Brokered money market accounts | | 41,765 |
| | — |
| Subtotal | | 5,959,108 |
| | 4,042,010 |
| Valuation adjustment resulting from acquisition accounting | | 367 |
| | 75 |
| Total deposits | | $ | 5,959,475 |
| | $ | 4,042,085 |
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| 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) | 2014 | | $ | 172,422 |
| 2015 | | 28,556 |
| 2016 | | 11,834 |
| 2017 | | 4,810 |
| 2018 | | 2,162 |
| Thereafter | | 106 |
| Total | | $ | 219,890 |
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