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DEPOSITS (Tables)
9 Months Ended
Sep. 30, 2023
Deposits Liabilities, Balance Sheet, Reported Amounts [Abstract]  
Deposit Balances, Including Stated Rates
Deposit balances, including their weighted average rates, were as follows: 

At September 30, 2023At December 31, 2022
(dollars in thousands)AmountWeighted Average RateAmountWeighted Average Rate
Noninterest-bearing demand deposits$1,437,057 — %$1,399,912 — %
Interest bearing:
Interest-bearing demand deposits 352,529 0.21 %466,490 0.10 %
Savings 284,663 0.06 %258,977 0.06 %
Money market 1,723,924 1.67 %2,383,209 1.22 %
Certificates of deposit2,947,378 4.13 %2,943,331 3.07 %
Total interest bearing deposits5,308,494 2.82 %6,052,007 1.98 %
Total deposits$6,745,551 2.25 %$7,451,919 1.61 %
Certificates of Deposit Outstanding
Certificates of deposit outstanding mature as follows: 

(in thousands)September 30, 2023
Within one year$2,855,303 
One to two years66,263 
Two to three years13,283 
Three to four years5,160 
Four to five years7,027 
Thereafter342 
Total$2,947,378