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DEPOSITS - Schedule of Deposit Balances (Details) - USD ($)
$ in Thousands
Mar. 31, 2023
Dec. 31, 2022
Deposit balances, including stated rates    
Noninterest-bearing demand deposits $ 1,479,428 $ 1,399,912
Interest-Bearing Deposit Liabilities [Abstract]    
Interest-bearing demand deposits 496,504 466,490
Savings 323,373 258,977
Money market 2,097,055 2,383,209
Certificates of deposit 2,660,243 2,943,331
Total interest bearing deposits 5,577,175 6,052,007
Total deposits $ 7,056,603 $ 7,451,919
Weighted Average Rate, Interest-bearing demand deposits 0.34% 0.10%
Weighted Average Rate, Savings 0.06% 0.06%
Weighted Average Rate, Money market 1.52% 1.22%
Weighted Average Rate, Certificates of deposit 3.49% 3.07%
Weighted Average Rate, Domestic, Total interest bearing deposits 2.28% 1.98%
Weighted Average Rate, Domestic, Total deposits 1.79% 1.61%