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Customer Accounts (Tables)
12 Months Ended
Sep. 30, 2011
Customer Accounts [Abstract] 
Schedule of deposits
September 30,
2011
2010
 
(In thousands)
Checking accounts, .50% and under
$
779,053

$
666,372

Passbook and statement accounts, .50% and under
255,396

234,673

Insured money market accounts, .01% to .75%
1,627,739

1,653,717

Certificate accounts


Less than 2.00%
4,170,232

3,608,935

2.00% to 2.99%
1,229,918

1,929,112

3.00% to 3.99%
418,720

498,956

4.00% to 4.99%
174,854

237,852

5.00% to 5.99%
9,991

22,923

Total certificates
6,003,715

6,297,778

 
$
8,665,903

$
8,852,540

Certificate maturities are as follows:
 
 
September 30,
2011
2010
 
(In thousands)
Within 1 year
$
3,973,028

$
4,312,825

1 to 2 years
1,388,885

1,169,950

2 to 3 years
274,704

533,217

Over 3 years
367,098

281,786

 
$
6,003,715

$
6,297,778

Schedule of interest expense on customer deposits
Interest expense on customer accounts consisted of the following:
 
Year ended September 30,
2011
2010
2009
 
(in thousands)
Checking accounts
$
1,908

$
2,299

$
3,144

Passbook and statement accounts
682

1,100

1,441

Insured money market accounts
7,148

12,121

16,488

Certificate accounts
106,878

131,567

171,062

 
116,616

147,087

192,135

Less early withdrawal penalties
(781
)
(727
)
(700
)
 
$
115,835

$
146,360

$
191,435

Weighted average interest rate at end of year
1.14
%
1.51
%
1.96
%
Weighted daily average interest rate during the year
1.32
%
1.69
%
2.56
%