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DEPOSITS (Tables)
12 Months Ended
Jun. 30, 2023
Deposits [Abstract]  
Schedule of Deposits
Deposit accounts are summarized as follows:
At June 30,
 20232022
(Dollars in thousands)Amount
Rate1
Amount
Rate1
Non-interest bearing$2,898,150 — %$5,033,970 — %
Interest bearing:
Demand3,334,615 2.43 %3,611,889 0.61 %
Savings9,575,781 4.20 %4,245,555 0.95 %
12,910,396 3.74 %7,857,444 0.79 %
Time deposits:
$250 and under932,436 3.72 %651,392 1.22 %
Greater than $250382,126 4.36 %403,616 1.41 %
Total time deposits1,314,562 3.91 %1,055,008 1.25 %
Total interest bearing2
14,224,958 3.76 %8,912,452 0.85 %
Total deposits$17,123,108 3.12 %$13,946,422 0.54 %
1 Based on weighted-average stated interest rates at end of period.
2 The total interest-bearing includes brokered deposits of $2,028.5 million and $1,032.7 million as of June 30, 2023 and June 30, 2022, respectively, of which $690.9 million and $250.0 million, respectively, are time deposits classified as $250,000 and under.
Schedule of Maturities for Total Time Deposits Scheduled maturities of all time deposits are as follows:
(Dollars in thousands)June 30, 2023
Within 12 months$1,149,993 
13 to 24 months145,233 
25 to 36 months8,209 
37 to 48 months4,208 
49 to 60 months6,605 
Thereafter314 
Total$1,314,562