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Deposits (Tables)
3 Months Ended
Mar. 31, 2026
Banking and Thrift, Interest [Abstract]  
Schedule of Deposits
The following table presents the composition of deposits, which are classified as short-term or long-term based on their contractual maturities:
(in millions)March 31, 2026December 31, 2025
Customer deposits$277.6 $245.6 
Contractual deposits with maturities within 1 year(1),(2)
200.0 250.0 
Interest-bearing money market deposits(1)
689.5 727.5 
HSA deposits(3)
4,574.0 4,200.0 
Short-term deposits$5,741.0 $5,423.1 
Weighted average cost of funds on contractual deposits outstanding3.85 %4.00 %
Weighted average cost of interest-bearing money market deposits outstanding3.79 %3.79 %
Weighted average cost of HSA deposits outstanding0.11 %0.11 %
(1)As of March 31, 2026 and December 31, 2025, all certificates of deposit and money market deposits were in denominations of $250,000 or less, corresponding to FDIC deposit insurance limits.
(2)Includes certificates of deposit and certain money market deposits, which have a fixed maturity.
(3)HSA deposits are recorded within short-term deposits on the condensed consolidated balance sheets as the funds can be withdrawn by the account holders at any time.