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Bank subsidiary (HEI only) (Details 16) (USD $)
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Deposit liabilities      
Savings $ 1,826,907,000 $ 1,758,547,000  
Other checking      
Interest-bearing 721,700,000 641,970,000  
Noninterest-bearing 643,628,000 621,806,000  
Commercial checking 570,790,000 542,502,000  
Money market 182,546,000 191,398,000  
Term certificates 426,906,000 473,693,000  
Total Amount 4,372,477,000 4,229,916,000  
Weighted-average stated rate      
Savings (as a percent) 0.06% 0.06%  
Other checking, interest bearing (as a percent) 0.02% 0.02%  
Money market (as a percent) 0.13% 0.13%  
Term certificates (as a percent) 0.80% 0.86%  
Total weighted-average stated rate (as a percent) 0.11% 0.13%  
Certificate accounts of $100,000 or more 102,000,000 106,000,000  
Term certificates outstanding, scheduled maturities      
2014 244,000,000    
2015 94,000,000    
2016 46,000,000    
2017 22,000,000    
2018 16,000,000    
Thereafter 5,000,000    
Interest expense on deposit liabilities by type of deposit      
Term certificates 3,702,000 4,865,000 6,393,000
Savings 1,052,000 1,128,000 1,756,000
Money market 232,000 319,000 650,000
Interest-bearing checking 106,000 111,000 184,000
Interest expense on deposit liabilities $ 5,092,000 $ 6,423,000 $ 8,983,000