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Deposits and Related Interest (Tables)
9 Months Ended
Sep. 30, 2014
Deposits, by Component, Alternative [Abstract]  
Deposits By Component [Table Text Block]

Total deposits as of September 30, 2014 and December 31, 2013 consist of the following:

 September 30, December 31,
 2014 2013
 (In thousands)
Non-interest bearing demand deposits$ 734,449 $ 744,327
Interest-bearing savings and demand deposits  2,566,952   2,489,971
Individual retirement accounts  314,813   347,262
Retail certificates of deposit  455,286   568,367
Institutional certificates of deposit  328,031   405,224
Total core deposits  4,399,531   4,555,151
Brokered deposits  669,644   828,114
Total deposits$ 5,069,175 $ 5,383,265
Interest Expense Domestic Deposit Liabilities [Table Text Block]

Interest expense for the quarters and nine-month periods ended September 30, 2014 and 2013 was as follows:

 Quarter Ended September 30, Nine-Month Period Ended September 30,
 2014 2013  2014  2013
 (In thousands)
Demand and savings deposits$ 4,003 $ 5,596 $ 13,834 $ 16,994
Certificates of deposit  3,658   5,738   11,970   13,763
 $ 7,661 $ 11,334 $ 25,804 $ 30,757
Maturities Of Time Deposits [Table Text Block]

Excluding equity indexed options in the amount of $4.4 million, which are used by the Company to manage its exposure to the S&P 500 Index, and also excluding accrued interest of $1.3 million and unamortized deposit discount in the amount of $1.1 million, the scheduled maturities of certificates of deposit at September 30, 2014 are as follows:

 September 30, 2014
 (In thousands)
Within one year:  
Three (3) months or less$ 342,429
Over 3 months through 1 year  590,965
   933,394
Over 1 through 2 years  454,186
Over 2 through 3 years  210,567
Over 3 through 4 years  50,067
Over 4 through 5 years  18,926
 $ 1,667,140