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Deposits
12 Months Ended
Dec. 31, 2012
Deposits.  
Deposits

(7) Deposits

        Deposits as of December 31, 2012 and 2011 and related interest expense for the years ended December 31, 2012, 2011 and 2010 were as follows:

 
  2012   2011  
 
  (Dollars in Thousands)
 

Deposits:

             

Demand—non-interest bearing

             

Domestic

  $ 2,002,920   $ 1,717,286  

Foreign

    462,830     209,732  
           

Total demand non-interest bearing

    2,465,750     1,927,018  
           

Savings and interest bearing demand

             

Domestic

    2,350,872     2,221,758  

Foreign

    516,279     485,935  
           

Total savings and interest bearing demand

    2,867,151     2,707,693  
           

Time, certificates of deposit

             

$100,000 or more

             

Domestic

    973,824     1,022,450  

Foreign

    1,025,089     1,244,018  

Less than $100,000

             

Domestic

    601,766     664,111  

Foreign

    353,633     380,802  
           

Total time, certificates of deposit

    2,954,312     3,311,381  
           

Total deposits

  $ 8,287,213   $ 7,946,092  
           

 

 
  2012   2011   2010  
 
  (Dollars in Thousands)
 

Interest expense:

                   

Savings and interest bearing demand

                   

Domestic

  $ 4,487   $ 6,549   $ 7,771  

Foreign

    801     1,234     1,612  
               

Total savings and interest bearing demand

    5,288     7,783     9,383  
               

Time, certificates of deposit

                   

$100,000 or more

                   

Domestic

    8,263     10,299     14,839  

Foreign

    9,148     11,512     17,084  

Less than $100,000

                   

Domestic

    4,945     7,468     11,416  

Foreign

    1,617     2,277     3,628  
               

Total time, certificates of deposit

    23,973     31,556     46,967  
               

Total interest expense on deposits

  $ 29,261   $ 39,339   $ 56,350  
               

        Scheduled maturities of time deposits as of December 31, 2012 were as follows:

 
  Total  
 
  (in thousands)
 

2013

  $ 2,623,178  

2014

    224,606  

2015

    72,214  

2016

    27,437  

2017

    6,478  

Thereafter

    399  
       

Total

  $ 2,954,312  
       

        Scheduled maturities of time deposits in amounts of $100,000 or more at December 31, 2012, were as follows:

Due within 3 months or less

  $ 718,867  

Due after 3 months and within 6 months

    527,526  

Due after 6 months and within 12 months

    535,414  

Due after 12 months

    217,106  
       

 

  $ 1,998,913