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Deposits (Tables)
12 Months Ended
Dec. 31, 2013
Deposits.  
Schedule of deposits and related interest expense
  2013   2012  
 
  (Dollars in Thousands)
 

Deposits:

             

Demand—non-interest bearing

             

Domestic

  $ 2,175,694   $ 2,002,920  

Foreign

    490,816     462,830  
           

Total demand non-interest bearing

    2,666,510     2,465,750  
           

Savings and interest bearing demand

             

Domestic

    2,364,905     2,350,872  

Foreign

    560,707     516,279  
           

Total savings and interest bearing demand

    2,925,612     2,867,151  
           

Time, certificates of deposit $100,000 or more

             

Domestic

    856,700     973,824  

Foreign

    938,940     1,025,089  

Less than $100,000

   
 
   
 
 

Domestic

    531,503     601,766  

Foreign

    324,160     353,633  
           

Total time, certificates of deposit

    2,651,303     2,954,312  
           

Total deposits

  $ 8,243,425   $ 8,287,213  
           
           

 

 
  2013   2012   2011  
 
  (Dollars in Thousands)
 

Interest expense:

                   

Savings and interest bearing demand

                   

Domestic

    3,182   $ 4,487   $ 6,549  

Foreign

    580     801     1,234  
               

Total savings and interest bearing demand

    3,762     5,288     7,783  
               

Time, certificates of deposit $100,000 or more

                   

Domestic

    5,761     8,263     10,299  

Foreign

    5,590     9,148     11,512  

Less than $100,000

                   

Domestic

    3,065     4,945     7,468  

Foreign

    1,028     1,617     2,277  
               

Total time, certificates of deposit

    15,444     23,973     31,556  
               

Total interest expense on deposits

  $ 19,206   $ 29,261   $ 39,339  
               
               
Scheduled maturities of time deposits

Scheduled maturities of time deposits as of December 31, 2013 were as follows:

 
  Total  
 
  (in thousands)
 

2014

  $ 2,370,338  

2015

    187,430  

2016

    63,018  

2017

    28,521  

2018

    1,940  

Thereafter

    56  
       

Total

  $ 2,651,303  
       
       
Scheduled maturities of time deposits in amounts of $100,000 or more

Scheduled maturities of time deposits in amounts of $100,000 or more at December 31, 2013, were as follows:

Due within 3 months or less

  $ 673,126  

Due after 3 months and within 6 months

    441,749  

Due after 6 months and within 12 months

    494,928  

Due after 12 months

    185,837  
       

 

  $ 1,795,640