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DEPOSITS (Tables)
12 Months Ended
Dec. 31, 2017
Summary of Deposit Balances [Table Text Block]
The following table summarizes deposit balances as of the dates indicated:
December 31,
20172016
(In thousands)
Type of account and interest rate:
Non-interest-bearing checking accounts$1,833,665$1,484,155
Interest-bearing savings accounts - 0.05% to 0.40% (2016- 0.05% to 0.40%)2,401,3852,518,496
Interest-bearing checking accounts - 0.05% to 1.00%
(2016- 0.05% to 1.00%)1,207,5111,075,929
Certificates of deposit- 0.10% to 4.00% (2016- 0.10% to 4.00%)2,429,5852,312,928
Brokered certificates of deposit- 0.85% to 2.80% (2016- 0.60% to 2.80%)1,150,4851,439,697
$9,022,631$8,831,205
Brokered Certificates Of Deposit Mature [Table Text Block]
Brokered CDs mature as follows:
December 31,
2017
(In thousands)
Three months or less$194,703
Over three months to six months133,093
Over six months to one year329,077
One to three years360,566
Three to five years 131,666
Over five years1,380
Total$1,150,485
Schedule of cash deposits maturity [Table Text Block]
The following table presents the contractual maturities of CDs, including brokered CDs, as of December 31, 2017:
Total
(In thousands)
Three months or less$537,114
Over three months to six months500,020
Over six months to one year928,613
Over one year to two years 896,331
Over two years to three years 294,459
Over three years to four years 229,232
Over four years to five years 187,463
Over five years6,838
Total$3,580,070
Schedule of Interest Expenses on Deposits [Table Text Block]
A table showing interest expense on deposits follows:
Year Ended December 31,
201720162015
(In thousands)
Interest-bearing checking accounts$4,566$4,914$5,440
Savings12,52012,39213,660
Certificates of deposit30,27728,06825,246
Brokered certificates of deposit19,17421,92824,904
Total$66,537$67,302$69,250