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DEPOSITS - SCHEDULE OF DEPOSIT ACCOUNTS (Details) - USD ($)
$ in Thousands
Jun. 30, 2024
Jun. 30, 2023
Non-interest-bearing    
Non-interest bearing, Amount $ 2,975,631 $ 2,898,150
Interest-bearing:    
Demand, Amount $ 2,485,325 $ 3,334,615
Demand, Rate 2.42% 2.43%
Savings, Amount $ 12,960,165 $ 9,575,781
Savings, Rate 4.58% 4.20%
Total interest-bearing demand and savings, Amount $ 15,445,490 $ 12,910,396
Total interest-bearing demand and savings, Rate 4.23% 3.74%
Time deposits:    
$250 and under, Amount $ 567,192 $ 932,436
$250 and under, Rate 4.34% 3.72%
Greater than $250, Amount $ 370,904 $ 382,126
Greater than $250, Rate 4.76% 4.36%
Total $ 938,096 $ 1,314,562
Total time deposits, Rate 4.51% 3.91%
Total interest bearing, Amount $ 16,383,586 $ 14,224,958
Total interest bearing, Rate 4.24% 3.76%
Total deposits, Amount $ 19,359,217 $ 17,123,108
Total deposits, Rate 3.59% 3.12%
Time deposits acquired through broker relationships $ 1,611,600 $ 2,028,500
Time deposits acquired through broker relationships, $250,000 and under $ 400,000 $ 690,900